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Top Series in United States

Showing 1 - 12 of 12 results for “thomas e knudsen
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  • The Clinical Interpretation of MMPI-2

    A Content Cluster Approach

    In a managed care era, the MMPI-2 is becoming an overloaded workhorse, required to generate more and more of the assessments that a battery of instruments once did. Though all now rely on the MMPI-2 for good reasons, and the MMPI has fallen out of use entirely, some important and clinically useful scales were lost in the transition.Edward Gotts and Thomas Knudsen have recovered these scales and ... Read more

    $66.99 USD

  • Equity Derivatives

    Theory and Applications

    Series Book 106 - Wiley Finance
    Written by the quantitative research team of Deutsche Bank, the world leader in innovative equity derivative transactions, this book acquaints readers with leading-edge thinking in modeling and hedging these transactions. Equity Derivatives offers a balanced, integrated presentation of theory and practice in equity derivative markets. It provides a theoretical treatment of each new modeling and ... Read more

    $63.00 USD

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  • Data Analysis with Open Source Tools

    A Hands-On Guide for Programmers and Data Scientists

    Collecting data is relatively easy, but turning raw information into something useful requires that you know how to extract precisely what you need. With this insightful book, intermediate to experienced programmers interested in data analysis will learn techniques for working with data in a business environment. You'll learn how to look at data to discover what it contains, how to capture those ... Read more

    $23.09 USD

  • Advances in Financial Machine Learning

    Learn to understand and implement the latest machine learning innovations to improve your investment performanceMachine learning (ML) is changing virtually every aspect of our lives. Today, ML algorithms accomplish tasks that – until recently – only expert humans could perform. And finance is ripe for disruptive innovations that will transform how the following generations understand money and ... Read more

    $33.00 USD

  • Structural Macroeconometrics

    Second Edition

    The revised edition of the essential resource on macroeconometricsStructural Macroeconometrics provides a thorough overview and in-depth exploration of methodologies, models, and techniques used to analyze forces shaping national economies. In this thoroughly revised second edition, David DeJong and Chetan Dave emphasize time series econometrics and unite theoretical and empirical research, while ... Read more

    $71.99 USD

  • Financial Modelling

    Theory, Implementation and Practice with MATLAB Source

    Series series The Wiley Finance Series
    Financial modellingTheory, Implementation and Practice with MATLAB SourceJörg Kienitz and Daniel WetterauFinancial Modelling - Theory, Implementation and Practice with MATLAB Source is a unique combination of quantitative techniques, the application to financial problems and programming using Matlab. The book enables the reader to model, design and implement a wide range of financial models for ... Read more

    $106.00 USD

  • Statistical Distributions

    A new edition of the trusted guide on commonly used statistical distributionsFully updated to reflect the latest developments on the topic, Statistical Distributions, Fourth Edition continues to serve as an authoritative guide on the application of statistical methods to research across various disciplines. The book provides a concise presentation of popular statistical distributions along with ... Read more

    $75.00 USD

  • Mathematical Techniques in Finance

    Tools for Incomplete Markets - Second Edition

    by Ales Cerný ...
    Originally published in 2003, Mathematical Techniques in Finance has become a standard textbook for master's-level finance courses containing a significant quantitative element while also being suitable for finance PhD students. This fully revised second edition continues to offer a carefully crafted blend of numerical applications and theoretical grounding in economics, finance, and mathematics, ... Read more

    $79.19 USD

  • Simulation

    The 5th edition of Ross's Simulation continues to introduce aspiring and practicing actuaries, engineers, computer scientists and others to the practical aspects of constructing computerized simulation studies to analyze and interpret real phenomena. Readers learn to apply results of these analyses to problems in a wide variety of fields to obtain effective, accurate solutions and make predictions ... Read more

    $71.09 USD

  • Quantitative Methods

    An Introduction for Business Management

    An accessible introduction to the essential quantitative methods for making valuable business decisionsQuantitative methods-research techniques used to analyze quantitative data-enable professionals to organize and understand numbers and, in turn, to make good decisions. Quantitative Methods: An Introduction for Business Management presents the application of quantitative mathematical modeling to ... Read more

    $129.00 USD

  • Derivatives Analytics with Python

    Data Analysis, Models, Simulation, Calibration and Hedging

    by Yves Hilpisch ...
    Series series The Wiley Finance Series
    Supercharge options analytics and hedging using the power of PythonDerivatives Analytics with Python shows you how to implement market-consistent valuation and hedging approaches using advanced financial models, efficient numerical techniques, and the powerful capabilities of the Python programming language. This unique guide offers detailed explanations of all theory, methods, and processes, ... Read more

    $88.00 USD

  • Financial Risk Forecasting

    The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab

    Series Book 588 - The Wiley Finance Series
    Financial Risk Forecasting is a complete introduction to practical quantitative risk management, with a focus on market risk. Derived from the authors teaching notes and years spent training practitioners in risk management techniques, it brings together the three key disciplines of finance, statistics and modeling (programming), to provide a thorough grounding in risk management techniques ... Read more

    $69.00 USD