A guide to quantitative finance
tools and techniques for understanding and implementing financial analytics
- ISBN: 9781904339472
- Editorial: RISK BOOKS
- Fecha de la edición: 2007
- Lugar de la edición: London. Reino Unido
- Encuadernación: Cartoné
- Medidas: 274 cm
- Nº Pág.: 269
- Idiomas: Inglés
Compiled by a professor of mathematical finance, Marcello Minenna, this extensive manual will enable the reader to: understand the models adopted by the financial markets; evaluate the practical application of these models; implement the models presented; and develop the skills required to independently tailor new models to their own specific needs. As well as a reference guide for advanced practitioners and academics, this manual is also designed for beginners and intermediate users to quickly grasp the complexities of quantitative finance. This self- contained and methodical guide will allow the reader to fully grasp the mathematics underlying the pricing of derivatives. And most importantly, will empower them to put their quantitative skills into practice.