Mathematical Techniques in Finance 在线电子书 pdf 下载 txt下载 epub 下载 mobi 下载 2024


Mathematical Techniques in Finance

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Ales Cerny 作者
Princeton University Press
译者
出版日期
400 页数
USD 45.00 价格
Paperback
丛书系列
9780691088075 图书编码

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发表于2024-09-29


Mathematical Techniques in Finance 在线电子书 epub 下载 mobi 下载 pdf 下载 txt 下载 2024

Mathematical Techniques in Finance 在线电子书 epub 下载 mobi 下载 pdf 下载 txt 下载 2024

Mathematical Techniques in Finance 在线电子书 pdf 下载 txt下载 epub 下载 mobi 下载 2024



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Mathematical Techniques in Finance 在线电子书 著者简介


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Mathematical Techniques in Finance 在线电子书 pdf 下载 txt下载 epub 下载 mobi 在线电子书下载

Mathematical Techniques in Finance 在线电子书 图书描述

Modern finance overlaps with many fields of mathematics, and for students this can represent considerable strain. Mathematical Techniques in Finance is an ideal textbook for Masters finance courses with a significant quantitative element while also being suitable for finance Ph.D. students. Developed for the highly acclaimed Master of Science in Finance program at Imperial College London, it offers a carefully crafted blend of numerical applications and theoretical grounding in economics, finance, and mathematics. In the best engineering tradition, Ales Cerný mixes tools from calculus, linear algebra, probability theory, numerical mathematics, and programming to analyze in an accessible way some of the most intriguing problems in financial economics. Eighty figures, over 70 worked examples, 25 simple ready-to-run computer programs, and several spreadsheets further enhance the learning experience. Each chapter is followed by a number of classroom-tested exercises with solutions available on the book's web site.</p>

Applied mathematics is a craft that requires practice--this textbook provides plenty of opportunities to practice it and teaches cutting-edge finance into the bargain. Asset pricing is a common theme throughout the book; and readers can follow the development from discrete one-period models to continuous time stochastic processes. This textbook sets itself apart by the comprehensive treatment of pricing and risk measurement in incomplete markets, an area of current research that represents the future in risk management and investment performance evaluation.</p>

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