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VaR Methodology for Non-Gaussian Finance (1848214642) cover image
by Marine Habart-Corlosquet, Jacques Janssen, Raimondo Manca
April 2013
Forthcoming
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All Titles in Financial Engineering (135)

Quantile Regression: Theory and Applications (111997528X) cover image
by Cristina Davino, Marilena Furno, Domenico Vistocco
December 2013, Hardcover
US $99.95 Add to Cart
Hedge Fund Analysis and Modelling using C++ and Website (1119967376) cover image
by Paul Darbyshire
November 2013, Hardcover
US $95.00 Add to Cart
A Workout in Computational Finance, (with Website) (1119971918) cover image
by Andreas Binder, Michael Aichinger
August 2013, Hardcover
US $95.00 Add to Cart
Measuring and Managing Liquidity Risk (1119990246) cover image
by Antonio Castagna, Francesco Fede
July 2013, Hardcover
US $95.00 Add to Cart
Credit Securitisations and Derivatives: Challenges for the Global Markets (1119963966) cover image
by Daniel Rösch, Harald Scheule
May 2013, Hardcover (E-book also available)
US $115.00 Add to Cart
Efficiency and Productivity Growth: Modelling in the Financial Services Industry (111996752X) cover image
by Fotios Pasiouras
May 2013, Hardcover (E-book also available)
US $110.00 Add to Cart
Counterparty Credit Risk, Collateral and Funding: With Pricing Cases For All Asset Classes (047074846X) cover image
by Damiano Brigo, Massimo Morini, Andrea Pallavicini
April 2013, Hardcover (E-book also available)
US $95.00 Add to Cart
Financial Modelling: Theory, Implementation and Practice with MATLAB Source (0470744898) cover image
by Joerg Kienitz, Daniel Wetterau
March 2013, Hardcover (E-book also available)
US $115.00 Add to Cart
C# for Financial Markets (0470030089) cover image
by Daniel J. Duffy, Andrea Germani
March 2013, Hardcover (E-book also available)
US $95.00 Add to Cart
Financial Risk Modelling and Portfolio Optimization with R (0470978708) cover image
by Bernhard Pfaff
January 2013, Hardcover (E-book also available)
US $99.95 Add to Cart
Market Microstructure: Confronting Many Viewpoints (1119952417) cover image
by Frederic Abergel (Editor), Jean-Philippe Bouchaud (Editor), Thierry Foucault (Editor), Charles-Albert Lehalle (Editor), Mathieu Rosenbaum (Editor)
May 2012, Hardcover (E-book also available)
US $115.00 Add to Cart
Managing Credit Risk: The Great Challenge for Global Financial Markets, 2nd Edition (0470118725) cover image
by John B. Caouette, Edward I. Altman, Paul Narayanan, Robert Nimmo
May 2008, Hardcover (E-book also available)
US $95.00 Add to Cart
Mathematical Asset Management (0470232870) cover image
by Thomas Höglund
April 2008, Hardcover (E-book also available)
US $116.00 Add to Cart
Exotic Options and Hybrids: A Guide to Structuring, Pricing and Trading (0470688033) cover image
by Mohamed Bouzoubaa, Adel Osseiran
May 2010, Hardcover (E-book also available)
US $95.00 Add to Cart
Frequently Asked Questions in Quantitative Finance, 2nd Edition (0470748753) cover image
by Paul Wilmott
November 2009, Paperback (E-book also available)
US $49.95 Add to Cart
The Mathematics of Derivatives Securities with Applications in MATLAB (0470683694) cover image
by Mario Cerrato
March 2012, Hardcover (E-book also available)
US $70.00 Add to Cart
Hedge Fund Modeling and Analysis Using Excel and VBA (0470747196) cover image
by Paul Darbyshire, David Hampton
March 2012, Hardcover (E-book also available)
US $100.00 Add to Cart
Dynamic Copula Methods in Finance (0470683074) cover image
by Umberto Cherubini, Sabrina Mulinacci, Fabio Gobbi, Silvia Romagnoli
November 2011, Hardcover (E-book also available)
US $120.00 Add to Cart
Understanding and Managing Model Risk: A Practical Guide for Quants, Traders and Validators (0470977612) cover image
by Massimo Morini
November 2011, Hardcover (E-book also available)
US $100.00 Add to Cart
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