This book is a study of the mathematical ideas and techniques that are important to the two main arms of the area of Financial Mathematics: portfolio optimization and derivative valuation. The text is authored for courses taken by advanced undergraduates, MBA, or other students in quantitative finance programs.
décembre 2022, env. 411 pages, Chapman and Hall/CRC Financial Mathematics Series, Anglais
Taylor and Francis
978-1-4987-8040-7
Taylor and Francis
978-1-4987-8040-7
This book is a study of the mathematical ideas and techniques that are important to the two main arms of the area of Financial Mathematics: portfolio optimization and derivative valuation. The text is authored for courses taken by advanced undergraduates, MBA, or other students in quantitative finance programs.
décembre 2022, env. 411 pages, Chapman and Hall/CRC Financial Mathematics Series, Anglais
Taylor and Francis
978-1-4987-8040-7
Taylor and Francis
978-1-4987-8040-7
Autres titres de la collection: Chapman and Hall/CRC Financial Mathematics Series
Afficher toutPrinciples of Portfolio Choice
An Information-Theoretic, Likelihood-Based Perspective
Taylor and Francis, 2026
978-1-032-95198-0
env. 169.00 CHF
paraît en novembre
Handbook of Quantitative Sustainable Finance
Taylor and Francis, 2025
978-1-032-62792-2
env. 206.00 CHF
livrable dans env. 10-20 jours
Nonlinear Option Pricing
Taylor and Francis, 2024
978-1-032-91939-3
env. 86.00 CHF
livrable dans env. 10-20 jours
Portfolio Optimization
Taylor and Francis, 2024
978-1-032-92596-7
env. 106.00 CHF
livrable dans env. 10-20 jours
Introduction to Credit Risk Modeling
Taylor and Francis, 2024
978-1-032-92079-5
env. 86.00 CHF
livrable dans env. 10-20 jours
Financial Mathematics
A Comprehensive Treatment in Discrete Time
Taylor and Francis, 2024
978-1-032-02307-6
env. 100.00 CHF
livrable dans env. 10-20 jours
Sustainable Life Insurance
Managing Risk Appetite for Insurance Savings and Retirement Products
Taylor and Francis, 2023
978-1-03-208155-7
env. 206.00 CHF
livrable dans env. 10-20 jours
Monte Carlo Methods and Models in Finance and Insurance
Taylor and Francis, 2023
978-1-03-247769-5
env. 86.00 CHF
livrable dans env. 10-20 jours
Introduction to Stochastic Calculus Applied to Finance
Taylor and Francis, 2023
978-1-03-247781-7
env. 86.00 CHF
livrable dans env. 10-20 jours
An Introduction to Financial Mathematics
Option Valuation
Taylor and Francis, 2023
978-1-03-247575-2
env. 86.00 CHF
livrable dans env. 10-20 jours
Commodities
Fundamental Theory of Futures, Forwards, and Derivatives Pricing
Taylor and Francis, 2022
978-1-03-220817-6
env. 296.00 CHF
livrable dans env. 10-20 jours
Introduction to Financial Derivatives with Python
Taylor and Francis, 2022
978-1-03-221103-9
env. 170.00 CHF
livrable dans env. 10-20 jours
Autres titres sur ce thème
Performance Evaluation and Attribution Volume Two
Analysis and Reporting
Elsevier, 2026
978-0-12-818301-4
env. 150.00 CHF
livrable dans env. 10-20 jours
The Small Business SOP Starter System
A 30-Day Plan to Document Repeatable Work, Train Helpers, Reduce Mistakes, and Keep Operations Clear Without Corporate Overwhelm
Independently Published, 2026
979-8-1886-5819-9
env. 16.50 CHF
livrable dans env. 15 jours
Financial Time Series Analysis: A Modern Approach With Applications
World Scientific Publishing, 2026
978-1-80061-960-9
env. 275.00 CHF
paraît en décembre
Essential Mathematics For Economics: A Student's Guide To Key Mathematical ...
World Scientific Publishing, 2026
978-981-9814-83-1
env. 60.50 CHF
livrable dans env. 10-20 jours
Minimalist Market Design
A Framework for Economists with Policy Aspirations
Cambridge Academic, 2027
978-1-009-87086-3
env. 54.50 CHF
paraît en janvier
Macroeconomic Modeling
A Gentle Introduction to DSGE Models
Cambridge Academic, 2026
978-1-009-61289-0
env. 70.00 CHF
livrable dans env. 10-20 jours
Financial Mathematics for Traders
Essential Probability, Statistics, and Stochastic Processes
Mercer Education Press, 2026
979-8-1807-2743-5
env. 43.90 CHF
livrable dans env. 15 jours
The Entrepreneurship of Sustainable High-Growth Firms
Frameworks, Evidence, and Policy Insights
Taylor and Francis, 2026
978-1-041-23953-6
env. 116.00 CHF
livrable dans env. 10-20 jours
Dynamic Programming for Economists
From Basic Growth Models to Computational Methods
Taylor and Francis, 2026
978-1-041-30342-8
env. 270.00 CHF
livrable dans env. 10-20 jours
New Machine Learning Methods for the Sustainable Development Goals
Taylor and Francis, 2027
978-1-032-99568-7
env. 189.00 CHF
paraît en janvier
Business Statistics of the United States 2026
Patterns of Economic Change
Bloomsbury, 2027
979-8-216-44092-5
env. 269.00 CHF
paraît en janvier

