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Handbook of Modeling High-Frequency Data in Finance

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Description

CUTTING-EDGE DEVELOPMENTS IN HIGH-FREQUENCY FINANCIAL ECONOMETRICS In recent years, the availability of high-frequency data and advances in computing have allowed financial practitioners to design systems that can handle and analyze this information. Handbook of Modeling High-Frequency Data in Finance addresses the many theoretical and practical questions raised by the nature and intrinsic properties of this data. A one-stop compilation of empirical and analytical research, this handbook explores data sampled with high-frequency finance in financial engineering, statistics, and the modern financial business arena. Every chapter uses real-world examples to present new, original, and relevant topics that relate to newly evolving discoveries in high-frequency finance, such as: Designing new methodology to discover elasticity and plasticity of price evolution Constructing microstructure simulation models Calculation of option prices in the presence of jumps and transaction costs Using boosting for financial analysis and trading The handbook motivates practitioners to apply high-frequency finance to real-world situations by including exclusive topics such as risk measurement and management, UHF data, microstructure, dynamic multi-period optimization, mortgage data models, hybrid Monte Carlo, retirement, trading systems and forecasting, pricing, and boosting. The diverse topics and viewpoints presented in each chapter ensure that readers are supplied with a wide treatment of practical methods. Handbook of Modeling High-Frequency Data in Finance is an essential reference for academics and practitioners in finance, business, and econometrics who work with high-frequency data in their everyday work. It also serves as a supplement for risk management and high-frequency finance courses at the upper-undergraduate and graduate levels.

Author Biography:

Frederi G. Viens, PhD, is Director and Coordinator of theComputational Finance Program at Purdue University, where he alsoserves as Professor of Statistics and Mathematics. He has publishedextensively in the areas of mathematical finance, probabilitytheory, and stochastic processes. Dr. Viens is co-organizer of theannual Conference on Modeling High-Frequency Data in Finance. Maria C. Mariani, PhD, is Pro-fessor and Chair in theDepartment of Mathematical Sciences at The University of Texas atEl Paso. She currently focuses her research on mathematicalfinance, applied mathematics, and numerical methods. Dr. Mariani isco-organizer of the annual Conference on Modeling High-FrequencyData in Finance. Ionut Florescu, PhD, is Assistant Professor ofMathematics at Stevens Institute of Technology. He has published inresearch areas including stochastic volatility, stochastic partialdifferential equations, Monte Carlo methods, and numerical methodsfor stochastic processes. Dr. Florescu is lead organizer of theannual Conference on Modeling High-Frequency Data in Finance.
Release date NZ
January 6th, 2012
Audiences
  • Postgraduate, Research & Scholarly
  • Professional & Vocational
Illustrations
Tables: 150 B&W, 0 Color; Graphs: 125 B&W, 0 Color
Pages
464
Dimensions
163x243x28
ISBN-13
9780470876886
Product ID
10836362

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