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Mathematics for finance

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This textbook contains the fundamentals for an undergraduate course in mathematical finance aimed primarily at students of mathematics. Assuming only a basic knowledge of probability and calculus, the material is presented in a mathematically rigorous and complete way. The book covers the time value of money, including the time structure of interest rates, bonds and stock valuation; derivative securities (futures, options), modelling in discrete time, pricing and hedging, and many other core topics. With numerous examples, problems and exercises, this book is ideally suited for independent study.

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Mathematics for finance, Marek Capiński

Sprache
Erscheinungsdatum
2003
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Sprache
Englisch
Autor*innen
Marek Capiński
Verlag
Springer
Erscheinungsdatum
2003
Einband
Paperback
Seitenzahl
310
ISBN10
1852333308
ISBN13
9781852333300
Bewertung
3,65 von 5 Sternen
Beschreibung
This textbook contains the fundamentals for an undergraduate course in mathematical finance aimed primarily at students of mathematics. Assuming only a basic knowledge of probability and calculus, the material is presented in a mathematically rigorous and complete way. The book covers the time value of money, including the time structure of interest rates, bonds and stock valuation; derivative securities (futures, options), modelling in discrete time, pricing and hedging, and many other core topics. With numerous examples, problems and exercises, this book is ideally suited for independent study.