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.
保存先:
| 第一著者: | Joshi, Mark S. |
|---|---|
| フォーマット: | 図書 |
| 言語: | 英語 |
| 出版事項: |
London
Cambridge University Press
2011
|
| 版: | 2nd ed. |
| シリーズ: | Mathematics, Finance and Risk
|
| 主題: | |
| タグ: |
タグ追加
タグなし, このレコードへの初めてのタグを付けませんか!
|
類似資料
-
Paul Wilmott on quantitative finance volume 1
著者:: Wilmott, P
出版事項: (2006) -
Paul Wilmott on quantitative finance volume 3
著者:: Wilmott, P
出版事項: (2006) -
Asset Pricing: Modeling and Estimation
著者:: Kellerhals, B. Philipp
出版事項: (2004) -
Quantitative Risk Management: Concepts, Techniques and Tools
著者:: McNeil Alexander J
出版事項: (2015) -
Quantitative Methods for Finance and Investments
著者:: Teall John L
出版事項: (2002)