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Mathematics for finance

Hodnocení knihy

3,7(43)Ohodnotit

Parametry

  • 310 stránek
  • 11 hodin čtení

Více o knize

This textbook contains the fundamentals for an undergraduate course in mathematical finance aimed primarily at students of mathematics. Assuming only a basic knowledge of probability and calculus, the material is presented in a mathematically rigorous and complete way. The book covers the time value of money, including the time structure of interest rates, bonds and stock valuation; derivative securities (futures, options), modelling in discrete time, pricing and hedging, and many other core topics. With numerous examples, problems and exercises, this book is ideally suited for independent study.

Vydání

Nákup knihy

Mathematics for finance, Marek Capiński

Jazyk
Rok vydání
2003
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Doručení

Platební metody

3,7
Velmi dobrá
43 Hodnocení

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