Financial Mathematics

Financial Mathematics

AngličtinaMäkká väzba
Pascucci Andrea
Springer Verlag
EAN: 9788847025370
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Podrobné informácie

With the Bologna Accords a bachelor-master-doctor curriculum has been introduced in various countries with the intention that students may enter the job market already at the bachelor level. Since financial Institutions provide non negligible job opportunities also for mathematicians, and scientists in general, it appeared to be appropriate to have a financial mathematics course already at the bachelor level in mathematics. Most mathematical techniques in use in financial mathematics are related to continuous time models and require thus notions from stochastic analysis that bachelor students do in general not possess. Basic notions and methodologies in use in financial mathematics can however be transmitted to students also without the technicalities from stochastic analysis by using discrete time (multi-period) models for which general notions from Probability suffice and these are generally familiar to students not only from science courses, but also from economics with quantitative curricula. There do not exists many textbooks for multi-period models and the present volume is intended to fill in this gap. It deals with the basic topics in financial mathematics and, for each topic, there is a theoretical section and a problem section. The latter includes a great variety of possible problems with complete solution.
EAN 9788847025370
ISBN 8847025370
Typ produktu Mäkká väzba
Vydavateľ Springer Verlag
Dátum vydania 19. januára 2012
Stránky 294
Jazyk English
Rozmery 14 x 156 x 235
Krajina Italy
Autori Pascucci Andrea; Runggaldier Wolfgang J.
Ilustrácie IX, 294 p.
Séria La Matematica per il 3+2