Introduction to Quantitative Methods for Financial Markets(Compact Textbooks in Mathematics)

运筹学

售   价:
620.00
发货周期:预计8-10周发货
出  版 社
出版时间
2013年07月24日
装      帧
ISBN
9783034805186
复制
页      码
191
开      本
22.9 x 15.5 x 1.3 cm
语      种
英文
综合评分
暂无评分
我 要 买
- +
库存 30 本
  • 图书详情
  • 目次
  • 买家须知
  • 书评(0)
  • 权威书评(0)
图书简介
Swaps, futures, options, structured instruments - a wide range of derivative products is traded in today?s financial markets. Analyzing, pricing and managing such products often requires fairly sophisticated quantitative tools and methods. This book serves as an introduction to financial mathematics with special emphasis on aspects relevant in practice. In addition to numerous illustrative examples, algorithmic implementations are demonstrated using ?Mathematica? and the software package ?UnRisk? (available for both students and teachers). The content is organized in 15 chapters that can be treated as independent modules. In particular, the exposition is tailored for classroom use in a Bachelor or Master program course, as well as for practitioners who wish to further strengthen their quantitative background.
本书暂无推荐
本书暂无推荐
看了又看
  • 上一个
  • 下一个