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Handbook of Price Impact Modeling
Handbook of Price Impact Modeling provides practitioners and students with a mathematical framework grounded in academic references to apply price impact models to quantitative …
Stochastic Models of Financial Mathematics
This book presents a short introduction to continuous-time financial models. An overview of the basics of stochastic analysis precedes a focus on the Black–Scholes and interest …
The Financial Mathematics of Market Liquidity
This book is among the first to present the mathematical models most commonly used to solve optimal execution problems and market making problems in finance. The Financial …
Financial Mathematics For Actuaries (Second Edition)
Financial Mathematics for Actuaries is a textbook for students in actuarial science, quantitative finance, financial engineering and quantitative risk management and is designed …
Robust Libor Modelling and Pricing of Derivative Products
One of Riskbook.com's Best of 2005 - Top Ten Finance BooksThe Libor market model remains one of the most popular and advanced tools for modelling interest rates and interest rate …
Introducing Financial Mathematics
Introducing Financial Mathematics: Theory, Binomial Models, and Applications seeks to replace existing books with a rigorous stand-alone text that covers fewer examples in greater …
Stochastic Processes With Applications to Finance
Financial engineering has been proven to be a useful tool for risk management, but using the theory in practice requires a thorough understanding of the risks and ethical standards …
Financial Mathematics of Market Liquidity
This book is among the first to present the mathematical models most commonly used to solve optimal execution problems and market making problems in finance. The Financial …
Financial Mathematics, Volatility and Covariance Modelling
This book provides an up-to-date series of advanced chapters on applied financial econometric techniques pertaining the various fields of commodities finance, mathematics & …
Credit Risk
Featuring contributions from leading international academics and practitioners, Credit Risk: Models, Derivatives, and Management illustrates how a risk management system can be …
Financial Mathematics
Financial Mathematics is an exciting, emerging field of application. The five sets of course notes in this book provide a bird's eye view of the current "state of the art" and …