Description

The purpose of this book is to provide a rigorous yet accessible introduction to the modern financial theory of security markets. The main subjects are derivatives and portfolio management. The book is intended to be used as a text by advanced undergraduates and beginning graduate students. It is also likely to be useful to practicing financial engineers, portfolio manager, and actuaries who wish to acquire a fundamental understanding of financial theory. The book makes heavy use of mathematics, but not at an advanced level. Various mathematical concepts are developed as needed, and computational examples are emphasized.
  • ISBN13: 9781557869456
  • Publisher: Wiley
  • Pubilcation Year: 1997
  • Format: Hardcover
  • Pages: 00276
Specifications
FormatHardcover
Publication DateJuly 7, 1997
Pages276
Primary CategoryBusiness & Economics/Finance - General

Introduction to Mathematical F

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