The second edition of a successful text providing the working knowledge needed to become a good quantitative analyst.
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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: Books From California, Simi Valley, CA, USA
hardcover. Zustand: Good. Artikel-Nr. mon0004173668
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Anbieter: Zubal-Books, Since 1961, Cleveland, OH, USA
Zustand: Fine. *Price HAS BEEN REDUCED by 10% until Monday, July 13 (SALE Item)* 2010 printing of the 2nd edition, with corrections; 558 pp., hardcover, NEW!! - If you are reading this, this item is actually (physically) in our stock and ready for shipment once ordered. We are not bookjackers. Buyer is responsible for any additional duties, taxes, or fees required by recipient's country. Artikel-Nr. ZB1343936
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Anbieter: Books From California, Simi Valley, CA, USA
hardcover. Zustand: Fine. Artikel-Nr. mon0004084650
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Anbieter: Ria Christie Collections, Uxbridge, Vereinigtes Königreich
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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
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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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Anbieter: Revaluation Books, Exeter, Vereinigtes Königreich
Hardcover. Zustand: Brand New. 2nd edition. 525 pages. 9.76x7.09x1.26 inches. In Stock. Artikel-Nr. x-0521514088
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Anbieter: AHA-BUCH GmbH, Einbeck, Deutschland
Buch. Zustand: Neu. Druck auf Anfrage Neuware - Printed after ordering - An ideal introduction for those starting out as practitioners of mathematical finance, this book provides a clear understanding of the intuition behind derivatives pricing, how models are implemented, and how they are used and adapted in practice. Strengths and weaknesses of different models, e.g. Black-Scholes, stochastic volatility, jump-diffusion and variance gamma, are examined. Both the theory and the implementation of the industry-standard LIBOR market model are considered in detail. Each pricing problem is approached using multiple techniques including the well-known PDE and martingale approaches. This second edition contains many more worked examples and over 200 exercises with detailed solutions. Extensive appendices provide a guide to jargon, a recap of the elements of probability theory, and a collection of computer projects. The author brings to this book a blend of practical experience and rigorous mathematical background and supplies here the working knowledge needed to become a good quantitative analyst. Artikel-Nr. 9780521514088
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