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From London Financial Studies
Volatility Trading and Managing Risk ...ion of a range of standard volatility derivatives such as VIX futures and options and volatility swaps. The final part of the programme covers the treatment of volatility in the more popular stochastic volatility models used in the industry such as SABR and Heston and provides insights into the most relevant approaches to modelling volatility under current market conditions. Presented by  more...
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This page was last updated on sb4- 06/11/09 at 11:42:36