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Introductory Mathematical Analysis for Quantitative Finance
Introductory Mathematical Analysis for Quantitative Finance
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Introductory Mathematical Analysis for Quantitative Finance

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Introductory Mathematical Analysis for Quantitative Finance is a textbook designed to enable students with little knowledge of mathematical analysis to fully engage with modern quantitative finance. A basic understanding of dimensional Calculus and Linear Algebra is assumed. The exposition of the topics is as concise as possible, since the chapters are intended to represent a preliminary contact with the mathematical concepts used in Quantitative Finance. The aim is that this book can be used as a basis for an intensive one-semester course. Features: Written with applications in mind, and maintaining mathematical rigor. Suitable for undergraduate or master's level students with an Economics or Management background. Complemented with various solved examples and exercises, to support the understanding of the subject.
ISBN
9781351245098
Kieli
englanti
Julkaisupäivä
13.4.2020
Kustantaja
CRC PRESS
Formaatti
  • Epub - Adobe DRM
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