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Paperback Monte Carlo Methods in Finance: A Hands-On Guide to Simulating Risk, Derivatives Pricing, and Portfolio Dynamics: Master Uncertainty with Confidence - Book

ISBN: B0F7FW4LG2

ISBN13: 9798282278903

Monte Carlo Methods in Finance: A Hands-On Guide to Simulating Risk, Derivatives Pricing, and Portfolio Dynamics: Master Uncertainty with Confidence -

Reactive Publishing

In Monte Carlo Methods in Finance, quantitative strategist Vincent Bissette delivers a powerful, practice-driven guide to modeling uncertainty and simulating outcomes in modern financial markets. Whether you're pricing complex derivatives, managing portfolio risk, or optimizing financial strategies, this book equips you with hands-on tools to harness the power of stochastic simulation.

You'll uncover:

Real-world applications of Monte Carlo simulations in equity, fixed income, and options markets

Step-by-step guides to pricing exotic derivatives and structured products

Techniques to simulate interest rate models, credit risk, and path-dependent payoffs

Python-based coding examples and fully explained algorithms for practical implementation

Insights into variance reduction, scenario analysis, and dynamic portfolio evaluation

Built for financial analysts, quant developers, traders, and students, this guide goes beyond theory-giving you the applied knowledge to turn random variables into strategic advantage.

Recommended

Format: Paperback

Condition: New

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Business Business & Investing

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