Second edition of successful text providing the working knowledge needed to become a good quantitative analyst. An ideal introduction to mathematical finance, readers will gain a clear understanding of the intuition behind derivatives pricing, how models are implemented, and how they are used and adapted in practice.
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Mark S. Joshi is an Associate Professor in the Centre for Actuarial Studies at the University of Melbourne. He has wide experience of teaching courses in financial mathematics and has previously held posts at the University of Cambridge and at Royal Bank of Scotland Group Risk Management. In February 2004 he was appointed Head of Quantitative Research Centre (QUARC) at RBS. He is the author of two books and numerous papers on both financial and pure mathematics, and has been an invited speaker at many international conferences.
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Anbieter: WorldofBooks, Goring-By-Sea, WS, Vereinigtes Königreich
Hardback. Zustand: Very Good. The book has been read, but is in excellent condition. Pages are intact and not marred by notes or highlighting. The spine remains undamaged. Artikel-Nr. GOR005163278
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hardcover. Zustand: Very Good. The Concepts and Practice of Mathematical Finance: 8 (Mathematics, Finance and Risk, Series Number 8) This book is in very good condition and will be shipped within 24 hours of ordering. The cover may have some limited signs of wear but the pages are clean, intact and the spine remains undamaged. This book has clearly been well maintained and looked after thus far. Money back guarantee if you are not satisfied. See all our books here, order more than 1 book and get discounted shipping. Artikel-Nr. 7719-9780521514088
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Hardcover. Zustand: Very Good. This book is in very good condition and will be shipped within 24 hours of ordering. The cover may have some limited signs of wear but the pages are clean, intact and the spine remains undamaged. This book has clearly been well maintained and looked after thus far. Money back guarantee if you are not satisfied. See all our books here, order more than 1 book and get discounted shipping. Artikel-Nr. 6545-9780521514088
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Zustand: Good. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. Clean from markings. In good all round condition. No dust jacket. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,1300grams, ISBN:9780521514088. Artikel-Nr. 9294616
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Zustand: New. pp. xviii + 539 Illus. Artikel-Nr. 8386873
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Anbieter: Kennys Bookstore, Olney, MD, USA
Zustand: New. 2008. 2nd Edition. Hardcover. The second edition of a successful text providing the working knowledge needed to become a good quantitative analyst. Series: Mathematics, Finance and Risk. Num Pages: 558 pages, 202 exercises. BIC Classification: KFF; PBT. Category: (P) Professional & Vocational. Dimension: 255 x 183 x 31. Weight in Grams: 1120. Series: Mathematics, Finance and Risk. 560 pages, 202 exercises. Second edition of successful text providing the working knowledge needed to become a good quantitative analyst. Cateogry: (P) Professional & Vocational. BIC Classification: KFF; PBT. Dimension: 255 x 183 x 31. Weight: 1234. . . . . . Books ship from the US and Ireland. Artikel-Nr. V9780521514088
Anbieter: moluna, Greven, Deutschland
Zustand: New. The second edition of a successful text providing the working knowledge needed to become a good quantitative analyst. An ideal introduction to mathematical finance, readers will gain a clear understanding of the intuition behind derivatives pricing, how mod. Artikel-Nr. 5918926
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