Quantitative Finance For Dummies
Autor S Bellen Limba Engleză Paperback – 7 iul 2016
The world of quantitative finance is complex, and sometimes even high-level financial experts have difficulty grasping it. Quantitative Finance For Dummies offers plain-English guidance on making sense of applying mathematics to investing decisions. With this complete guide, you'll gain a solid understanding of futures, options and risk, and become familiar with the most popular equations, methods, formulas, and models (such as the Black-Scholes model) that are applied in quantitative finance.
Also known as mathematical finance, quantitative finance is about applying mathematics and probability to financial markets, and involves using mathematical models to help make investing decisions. It's a highly technical discipline--but almost all investment companies and hedge funds use quantitative methods.
The book breaks down the subject of quantitative finance into easily digestible parts, making it approachable for personal investors, finance students, and professionals working in the financial sector -especially in banking or hedge funds who are interested in what their quant (quantitative finance professional) colleagues are up to. This user-friendly guide will help you even if you have no previous experience of quantitative finance or even of the world of finance itself.
With the help of Quantitative Finance For Dummies, you'll learn the mathematical skills necessary for success with quantitative finance and tips for enhancing your career in quantitative finance.
Get your own copy of this handy reference guide and discover:
- An easy-to-follow introduction to the complex world of quantitative finance
The core models, formulas, and methods used in quantitative finance
Exercises to help augment your understanding of QF
How QF methods are used to define the current market value of a derivative security
- Real-world examples that relate quantitative finance to your day-to-day job
Mathematics necessary for success in investment and quantitative finance
Portfolio and risk management applications
Basic derivatives pricing
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Specificații
ISBN-13: 9781118769461
ISBN-10: 1118769465
Pagini: 408
Dimensiuni: 188 x 234 x 29 mm
Greutate: 0.7 kg
Editura: Wiley
Locul publicării:Chichester, United Kingdom
ISBN-10: 1118769465
Pagini: 408
Dimensiuni: 188 x 234 x 29 mm
Greutate: 0.7 kg
Editura: Wiley
Locul publicării:Chichester, United Kingdom
Public țintă
Primary market: The high level personal investor wanting an introduction to QF/risk management.Secondary market: Those studying finance and aspiring to a career as a quant (there even some Masters degrees in the UK focusing on QF).