The Concepts and Practice of Mathematical Finance
For those starting out as practitioners of mathematical finance, this book will be an ideal introduction, giving the reader a clear understanding of the intuition behind derivatives pricing, how models are implemented, and how they are used and adapted in practice.
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Hlavní autor: | |
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Médium: | Kniha |
Jazyk: | angličtina |
Vydáno: |
London
Cambridge University Press
2011
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Vydání: | 2nd ed. |
Edice: | Mathematics, Finance and Risk
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Témata: | |
Tagy: |
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020 | |a 9780521514088 | ||
082 | |a 332.0151 |b JOS | ||
100 | |a Joshi, Mark S. |9 2167 | ||
245 | |a The Concepts and Practice of Mathematical Finance | ||
250 | |a 2nd ed. | ||
260 | |a London |b Cambridge University Press |c 2011 | ||
300 | |a xviii, 539 p. | ||
490 | |a Mathematics, Finance and Risk | ||
520 | |a For those starting out as practitioners of mathematical finance, this book will be an ideal introduction, giving the reader a clear understanding of the intuition behind derivatives pricing, how models are implemented, and how they are used and adapted in practice. | ||
650 | |a Finance - Mathematical Models |9 2168 | ||
650 | |a Derivative Securities - Prices |9 2158 | ||
650 | |a Risk Management - Mathematical Models |9 2159 |