Mathematical Finance

Mathematical Finance

EnglishHardbackPrint on demand
Eberlein Ernst
Springer, Berlin
EAN: 9783030261054
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Detailed information

Taking continuous-time stochastic processes allowing for jumps as its starting and focal point, this book provides an accessible introduction to the stochastic calculus and control of semimartingales and explains the basic concepts of Mathematical Finance such as arbitrage theory, hedging, valuation principles, portfolio choice, and term structure modelling. It bridges thegap between introductory texts and the advanced literature in the field.

Most textbooks on the subject are limited to diffusion-type models which cannot easily account for sudden price movements. Such abrupt changes, however, can often be observed in real markets. At the same time, purely discontinuous processes lead to a much wider variety of flexible and tractable models. This explains why processes with jumps have become an established tool in the statistics and mathematics of finance.

Graduate students, researchers as well as practitioners will benefit from this monograph. 


EAN 9783030261054
ISBN 3030261050
Binding Hardback
Publisher Springer, Berlin
Publication date December 12, 2019
Pages 772
Language English
Dimensions 235 x 155
Country Switzerland
Readership Professional & Scholarly
Authors Eberlein Ernst; KALLSEN, JAN
Illustrations 32 Illustrations, color; 2 Illustrations, black and white; XVII, 772 p. 34 illus., 32 illus. in color.
Edition 1st ed. 2019
Series Springer Finance

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