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Mathematical Techniques in Finance
ISBN/GTIN

Mathematical Techniques in Finance

An Introduction
E-BookEPUBDRM AdobeE-Book
Verkaufsrang551993inWirtschaft
CHF55.00

Beschreibung

PRAISE FOR MATHEMATICAL TECHNIQUES IN FINANCE

This is the perfect introduction to financial modeling for masters-level students or quantitatively prepared undergraduates. Sadr presents the essential toolkit of mathematical techniques clearly and accessibly, while also explaining how each model is applied in practice.
- DARRELL DUFFIE, Adams Distinguished Professor of Management and Professor of Finance at the Graduate School of Business, Stanford University
An easy to read and self-contained textbook on quantitative finance - indeed, the perfect senior level undergraduate introduction to this fascinating field!
- PETTER N. KOLM, Professor, Courant Institute of Mathematical Sciences, New York University, Awarded Quant of the Year 2021 by PMR
This comprehensive and practical textbook introduces the mathematical techniques used in financial markets and products. It has a very clear and accessible presentation of the relevant topics. Ideal for students who want to pursue careers in quantitative finance.
- ROBERT JARROW, Professor of Investment Management at the Samuel Curtis Johnson Graduate School of Management, Cornell University
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Details

Weitere ISBN/GTIN9781119838418
ProduktartE-Book
EinbandE-Book
FormatEPUB
Format HinweisDRM Adobe
Erscheinungsdatum21.04.2022
Auflage22001 A. 1. Auflage
Seiten272 Seiten
SpracheEnglisch
Dateigrösse11501 Kbytes
Artikel-Nr.20556950
KatalogVC
Datenquelle-Nr.4016530
Weitere Details

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Bewertungen

Autor

AMIR SADR, Ph.D. is a highly sought-after expert in fixed income and interest rate derivatives. He is a university lecturer at NYU Courant and a consultant to banks and hedge funds, with a current focus on crypto derivatives. He has held senior management roles in quantitative research and trading at major banks and hedge funds including Morgan Stanley, Greenwich Capital, and Brevan Howard.