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Monte Carlo Methods in Finance

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

Paperback (03 May 2025)

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Publisher's Synopsis

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.

Book information

ISBN: 9798282278903
Publisher: Amazon Digital Services LLC - Kdp
Imprint: Independently Published
Pub date:
Language: English
Number of pages: 654
Weight: -1g
Height: 229mm
Width: 152mm
Spine width: 33mm