Asset Details
MbrlCatalogueTitleDetail
Do you wish to reserve the book?
Hedge Fund Analysis and Modelling Using C++ and Website
by
Darbyshire, Paul
in
Hedge funds -- Mathematical models
/ MATLAB
2014
Hey, we have placed the reservation for you!
By the way, why not check out events that you can attend while you pick your title.
You are currently in the queue to collect this book. You will be notified once it is your turn to collect the book.
Oops! Something went wrong.
Looks like we were not able to place the reservation. Kindly try again later.
Are you sure you want to remove the book from the shelf?
Oops! Something went wrong.
While trying to remove the title from your shelf something went wrong :( Kindly try again later!
Do you wish to request the book?
Hedge Fund Analysis and Modelling Using C++ and Website
by
Darbyshire, Paul
in
Hedge funds -- Mathematical models
/ MATLAB
2014
Please be aware that the book you have requested cannot be checked out. If you would like to checkout this book, you can reserve another copy
We have requested the book for you!
Your request is successful and it will be processed during the Library working hours. Please check the status of your request in My Requests.
Oops! Something went wrong.
Looks like we were not able to place your request. Kindly try again later.
Book
Hedge Fund Analysis and Modelling Using C++ and Website
2014
Request Book From Autostore
and Choose the Collection Method
Overview
\"The hedge fund sector has grown far beyond popular trading strategies like 'Global Macro', 'Short Selling' or 'Arbitrage' in recent decades. With the establishment of increasingly complex, quantitative trading strategies and the popularity of the fund-of-funds structure, this book addresses the need for exploring the field of 'hedge fund modeling'. The fact that both authors have substantial experience within the hedge fund industry, as practitioners, manifests itself through their superb selection of topics, ranging from performance measurement tools to essential risk management considerations. Each concept is discussed both at the theoretical or empirical levels, and concise MATLAB applications are also supplied. I highly recommend this book to anyone who attempts to take a serious look at the world of alternative investments in the 21st century. This text goes beyond standard literature, developing new solutions to the challenges that both fund managers and investors face in today's turbulent environment. -Djamal Marcel Adib, Chief Investment Officer, FRACTILEX Capital Management Ltd./Chief Executive Officer, KLIPPA Investments Ltd.
Publisher
John Wiley & Sons, Incorporated
Subject
ISBN
9781119967675, 1119967678
This website uses cookies to ensure you get the best experience on our website.