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Risk, portfolio management and capital markets
Cooke, Terence E., (1992)
The economics of financial markets
Bailey, Roy E., (2005)
Valuation of Mortgage-Backed Securities : A Portfolio Credit Derivatives Approach
Lou, Wujiang, (2013)
Why is VIX a fear gauge?
Carr, Peter, (2017)
Randomization and the American put
Carr, Peter, (1998)
Deriving derivatives of derivative securities
Carr, Peter, (2001)