Bookbot
The book is currently out of stock

The Statistical Mechanics of Financial Markets

Parameters

Pages
396 pages
Reading time
14 hours

More about the book

Focusing on the application of statistical physics to financial markets, this third edition significantly expands on previous content, incorporating practical insights from the author's experience as a risk manager. New chapters delve into risk management and economic capital, addressing both foundational and advanced topics, including coherent risk measures. The book also explores Basel II, the capital adequacy framework shaping global risk management standards, highlighting its relevance and the opportunities it presents for physicists in the banking sector.

Book purchase

The Statistical Mechanics of Financial Markets, Johannes Voit

Language
Released
2010
product-detail.submit-box.info.binding
(Paperback)
We’ll notify you via email once we track it down.

Payment methods