
Introduction to Mathematical Portfolio Theory
International Series on Actuarial Science Innbundet Engelsk
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Mathematics, Finance and Risk
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Omtale
The second edition of a successful text providing the working knowledge needed to become a good quantitative analyst. An ideal introduction to mathematical finance, readers will gain a clear understanding of the intuition behind derivatives pricing, how models are implemented, and how they are used and adapted in practice.
30.10.2008
9780521514088
, Engelsk
Mathematics, Finance and Risk
2 Revised edition
558
25.5 cm
18.3 cm