Mathematical Methods for Finance Mathematical Methods for Finance
Frank J. Fabozzi Series

Mathematical Methods for Finance

Tools for Asset and Risk Management

    • USD 109.99
    • USD 109.99

Descripción editorial

The mathematical and statistical tools needed in the rapidly growing quantitative finance field
With the rapid growth in quantitative finance, practitioners must achieve a high level of proficiency in math and statistics. Mathematical Methods and Statistical Tools for Finance, part of the Frank J. Fabozzi Series, has been created with this in mind. Designed to provide the tools needed to apply finance theory to real world financial markets, this book offers a wealth of insights and guidance in practical applications.

It contains applications that are broader in scope from what is covered in a typical book on mathematical techniques. Most books focus almost exclusively on derivatives pricing, the applications in this book cover not only derivatives and asset pricing but also risk management—including credit risk management—and portfolio management.
Includes an overview of the essential math and statistical skills required to succeed in quantitative finance Offers the basic mathematical concepts that apply to the field of quantitative finance, from sets and distances to functions and variables The book also includes information on calculus, matrix algebra, differential equations, stochastic integrals, and much more Written by Sergio Focardi, one of the world's leading authors in high-level finance
Drawing on the author's perspectives as a practitioner and academic, each chapter of this book offers a solid foundation in the mathematical tools and techniques need to succeed in today's dynamic world of finance.

GÉNERO
Negocios y finanzas personales
PUBLICADO
2013
4 de septiembre
IDIOMA
EN
Inglés
EXTENSIÓN
320
Páginas
EDITORIAL
Wiley
VENTAS
John Wiley & Sons, Inc.
TAMAÑO
13.9
MB

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2017
The Basics of Financial Econometrics The Basics of Financial Econometrics
2014
Quantitative Equity Investing Quantitative Equity Investing
2010
Probability and Statistics for Finance Probability and Statistics for Finance
2010

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Achieving Investment Excellence Achieving Investment Excellence
2019
The Handbook of Financial Instruments The Handbook of Financial Instruments
2018
Portfolio Construction and Analytics Portfolio Construction and Analytics
2016
Robust Equity Portfolio Management Robust Equity Portfolio Management
2015
Quantitative Financial Risk Management Quantitative Financial Risk Management
2015
The Basics of Financial Econometrics The Basics of Financial Econometrics
2014