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Textbook
Bayesian Methods in FinanceISBN: 978-0-471-92083-0
Hardcover
329 pages
February 2008, ©2008
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Bayesian Methods in Finance provides a detailed overview of the theory of Bayesian methods and explains their real-world applications to financial modeling. While the principles and concepts explained throughout the book can be used in financial modeling and decision making in general, the authors focus on portfolio management and market risk management—since these are the areas in finance where Bayesian methods have had the greatest penetration to date.
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Bayesian Methods in Finance (US $95.00)
-and- Fat-Tailed and Skewed Asset Return Distributions: Implications for Risk Management, Portfolio Selection, and Option Pricing (US $90.00)
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