Introducing Financial Mathematics: Theory, Binomial Models, and Applications (Wickerhauser Mladen Victor)(Pevná vazba)
Výrobce: Taylor & Francis Ltd
EAN: 9781032359854
Výrobní číslo: 9781032359854
Introducting Financial Mathematics: Theory, Binomial Models, and Applications seeks to replace existing books with a more rigorous stand-alone text that covers fewer examples but with more proofs, and also provides example computer programs, mainly in Octave/MATLAB but also as spreadsheets and Macsyma scripts, with which students may experiment on real data, The goal is to fill the large gaps among math-less finance texts, purely theoretical economics texts, and specific software-focused engineering texts. The book will cover both discrete and continuous models. Unique coverage includes computing implied volatility and fitting discrete models to market data.[Calc and Octave], fundamental theorems of asset pricing as an introduction to linear algebra and convex analysis.[more advanced proofs, with some calculations in
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