Interest Rate Modeling: Theory, Implementation, and Market Practice
Paperback
EconomicsInvesting & FinanceProgramming
Publisher: Independently Published
Published: Jul 1 2026
Pages: 356
Weight: 0.95
Height: 0.89 Width: 6.00 Depth: 9.00
Language: English
Interest Rate Modeling: Theory, Implementation, and Market Practice by Vincent Bisette offers a comprehensive, practitioner-oriented guide to one of the most technically demanding areas of quantitative finance.
This book bridges the gap between academic theory and real-world trading floors, delivering a clear and accessible treatment of interest rate models, from foundational short-rate models (such as Vasicek and Hull-White) to advanced frameworks including multi-factor affine models, the LIBOR Market Model (LMM), SABR, and modern stochastic volatility approaches.
- Solid Theoretical Foundations: Rigorous yet intuitive explanations of stochastic calculus, no-arbitrage pricing, yield curve dynamics, and the mathematics behind term structure modeling.
- Practical Implementation: Step-by-step guidance on coding models in Python (or similar languages), calibration to market data, numerical methods (Monte Carlo, PDE solvers, lattices), and efficient simulation techniques for pricing and risk management.
- Market Practice Insights: Real-world applications including pricing of caps/floors, swaptions, Bermudan options, structured products, and hedging strategies. It addresses key challenges like volatility smiles, negative rates, multi-curve frameworks, and post-crisis adjustments (e.g., SOFR, OIS discounting).
- Risk and Portfolio Perspectives: Coverage of interest rate risk measurement (DV01, duration, convexity), Value-at-Risk (VaR), stress testing, and integration with broader fixed-income portfolio management.
Written in Bisette's signature hands-on style, blending mathematical precision with code examples, case studies, and market anecdotes-this book is ideal for:
- Quantitative analysts and developers
- Fixed income traders and structurers
- Risk managers
- Graduate students in financial engineering or mathematical finance
Whether you're building models from scratch, refining existing systems, or deepening your understanding of how interest rates drive global markets, Interest Rate Modeling equips you with the tools and intuition needed to navigate this complex domain with confidence. It stands as an essential resource for anyone serious about mastering the theory, code, and commercial realities of interest rate derivatives.
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