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The Concepts and Practice of Mathematical Finance | 2:a upplagan
- Inbunden, Engelska, 2008
- Författare: Mark S. (university Of Melbourne) Joshi
- Betyg:
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Beskrivning
An ideal introduction for those starting out as practitioners of mathematical finance, this book provides a clear understanding of the intuition behind derivatives pricing, how models are implemented, and how they are used and adapted in practice. Strengths and weaknesses of different models, e.g. Black-Scholes, stochastic volatility, jump-diffusion and variance gamma, are examined. Both the theory and the implementation of the industry-standard LIBOR market model are considered in detail. Each pricing problem is approached using multiple techniques including the well-known PDE and martingale approaches. This second edition contains many more worked examples and over 200 exercises with detailed solutions. Extensive appendices provide a guide to jargon, a recap of the elements of probability theory, and a collection of computer projects. The author brings to this book a blend of practical experience and rigorous mathematical background and supplies here the working knowledge needed to become a good quantitative analyst.
Produktinformation
Kategori:
Ekonomi & management
Bandtyp:
Inbunden
Språk:
Engelska
Förlag:
Cambridge University Press
Upplaga:
2
Utgiven:
2008-10-30
ISBN:
9780521514088
Sidantal:
539
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