Vandut de elefant.ro
This book is a study of the mathematical ideas and techniques that are important to the two main arms of the area of Financial Mathematics: portfolio optimization and derivative valuation. The text is authored for courses taken by advanced undergraduates, MBA, or other students in quantitative finance programs.Publisher: Taylor & Francis IncAuthor(s): Kevin J. HastingsIllustration(s): 109 Line drawings, black and white; 109 Illustrations, black and whiteNumber of pages: 411Collection: Chapman and Hall/CRC Financial Mathematics SeriesPublication date: 2022Dimensions: 161 x 241 x 32Cover type: Hardback
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Magazin: Elefant.ro
Brand: Taylor & Francis Inc