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The Mathematics of Finance

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Financial Mathematics: A Comprehensive Guide to Quantitative Finance is an essential resource for finance professionals, academics, and students who want to master the quantitative techniques used in the world of finance. This comprehensive guide provides a thorough overview of the mathematical concepts and analytical tools used in financial markets analysis, fixed income securities and markets, equity securities and markets, financial derivatives and markets, foreign exchange markets and international finance. Written by M.L. Ruscsak, this guide covers a wide range of topics including bond valuation and yield measures, term structure models, interest rate risk management, equity valuation, equity market analysis, equity portfolio management, options, futures, swaps, and much more. The book is structured into six parts, each covering a specific area of financial mathematics, and provides readers with clear explanations of the fundamental concepts, worked examples, and practical applications of the tools and techniques used in financial markets. Financial Mathematics is an essential component of the Continuing Professional Development (CPD) course offered by Trient Press.

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  • Sprog:
  • Engelsk
  • ISBN:
  • 9798889900887
  • Indbinding:
  • Hardback
  • Sideantal:
  • 298
  • Udgivet:
  • 25. april 2023
  • Størrelse:
  • 208x21x260 mm.
  • Vægt:
  • 868 g.
  • 2-3 uger.
  • 2. december 2024
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Beskrivelse af The Mathematics of Finance

Financial Mathematics: A Comprehensive Guide to Quantitative Finance is an essential resource for finance professionals, academics, and students who want to master the quantitative techniques used in the world of finance. This comprehensive guide provides a thorough overview of the mathematical concepts and analytical tools used in financial markets analysis, fixed income securities and markets, equity securities and markets, financial derivatives and markets, foreign exchange markets and international finance.
Written by M.L. Ruscsak, this guide covers a wide range of topics including bond valuation and yield measures, term structure models, interest rate risk management, equity valuation, equity market analysis, equity portfolio management, options, futures, swaps, and much more. The book is structured into six parts, each covering a specific area of financial mathematics, and provides readers with clear explanations of the fundamental concepts, worked examples, and practical applications of the tools and techniques used in financial markets.
Financial Mathematics is an essential component of the Continuing Professional Development (CPD) course offered by Trient Press.

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