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Mathematical Asset Management

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Thomas Höglund 作者
Wiley-Blackwell
譯者
2008-5-23 出版日期
222 頁數
GBP 102.00 價格
Hardcover
叢書系列
9780470232873 圖書編碼

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Mathematical Asset Management 在線電子書 epub 下載 mobi 下載 pdf 下載 txt 下載 2024

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Mathematical Asset Management 在線電子書 pdf 下載 txt下載 epub 下載 mobi 下載 2024



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Mathematical Asset Management 在線電子書 著者簡介


Mathematical Asset Management 在線電子書 著者簡介


Mathematical Asset Management 在線電子書 pdf 下載 txt下載 epub 下載 mobi 在線電子書下載

Mathematical Asset Management 在線電子書 圖書描述

A practical approach to the mathematical tools needed to increase portfolio growth, learn successful trading strategies, and manage the risks associated with market fluctuation Mathematical Asset Management presents an accessible and practical introduction to financial derivatives and portfolio selection while also acting as a basis for further study in mathematical finance. Assuming a fundamental background in calculus, real analysis, and linear algebra, the book uses mathematical tools only as needed and provides comprehensive, yet concise, coverage of various topics, such as: Interest rates and the connection between present value and arbitrage Financial instruments beyond bonds that serve as building blocks for portfolios Trading strategies and risk performance measures Stochastic properties of stock prices The difference between expected return and expected growth and the geometric Brownian motion Diversification through the creation of optimal portfolios under various constraints The use of the Capital Asset Pricing Model to accurately estimate the difference between the return of the market and the short rate To further demonstrate the reality of the discussed concepts, the author analyzes five active stocks over a four-year period and highlights the different methods and portfolios that exist in today's economic world. Exercises are also provided throughout the text, along with the solutions, allowing readers to measure their understanding of presented techniques as well as see how the methods work in real life. Mathematical Asset Management is an excellent book for courses in mathematical finance, actuarial mathematics, financial derivatives, and financial engineering at the upper-undergraduate and graduate levels. It is also a valuable reference for practitioners in banking, insurance, and asset management industries.

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