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Problems and Solutions in Mathematical Finance Volume II – Equity Derivatives: The Wiley Finance Series

Autor E Chin
en Limba Engleză Hardback – 2 feb 2017
An essential reference for practitioners and students of quantitative finance Financial analysts and investment bankers utilize mathematical finance tenets constantly in their encounters with financial markets, making a firm grasp of quantitative skills essential to a successful practitioner. Building upon the stochastic calculus basis established in Volume I, Problems and Solutions in Mathematical Finance Volume II concentrates on the study of equity, currency, and commodity derivatives. In their sequel study on mathematical finance, quantitative analysts Dr. Eric Chin and Dian Nel and risk management professor Dr. Sverrir Olafsson provide examples of both basic derivative securities and advanced model parameters. Mathematical and computational finance rely on computational intelligence, numerical methods, and computer simulations to make trading, hedging, and investment decisions, to determine the risk of those decisions, and to define price derivatives. * Details the problem-solving process that determines popular option pricing techniques including procedures from closed-form solutions to numerical methods * Provides the background required to enrich a career based in equities, currency, and commodity derivatives For students and practitioners of quantitative finance, the detailed explanations of equity derivatives in this book will enrich any study of financial markets.
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Specificații

ISBN-13: 9781119965824
ISBN-10: 1119965829
Pagini: 856
Dimensiuni: 170 x 244 x 49 mm
Greutate: 1.57 kg
Ediția:2. Auflage.
Editura: Wiley
Seria The Wiley Finance Series

Locul publicării:Chichester, United Kingdom

Public țintă

Quantitative analysts, both experienced and those new to the industry, front office risk managers and traders, final year students

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Descriere

Detailed guidance on the mathematics behind equity derivatives Problems and Solutions in Mathematical Finance Volume II is an innovative reference for quantitative practitioners and students, providing guidance through a range of mathematical problems encountered in the finance industry.