Portfolio Theory and Arbitrage: A Course in Mathematical Finance (Graduate Studies in Mathematics, 214) - Softcover

Buch 176 von 190: Graduate Studies in Mathematics

Karatzas, Ioannis; Kardaras, Constantinos

 
9781470465988: Portfolio Theory and Arbitrage: A Course in Mathematical Finance (Graduate Studies in Mathematics, 214)

Inhaltsangabe

This book develops a mathematical theory for finance, based on a simple and intuitive absence-of-arbitrage principle. This posits that it should not be possible to fund a non-trivial liability, starting with initial capital arbitrarily near zero. The principle is easy-to-test in specific models, as it is described in terms of the underlying market characteristics; it is shown to be equivalent to the existence of the so-called ""Kelly"" or growth-optimal portfolio, of the log-optimal portfolio, and of appropriate local martingale deflators. The resulting theory is powerful enough to treat in great generality the fundamental questions of hedging, valuation, and portfolio optimization.

The book contains a considerable amount of new research and results, as well as a significant number of exercises. It can be used as a basic text for graduate courses in Probability and Stochastic Analysis, and in Mathematical Finance. No prior familiarity with finance is required, but it is assumed that readers have a good working knowledge of real analysis, measure theory, and of basic probability theory. Familiarity with stochastic analysis is also assumed, as is integration with respect to continuous semimartingales.

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Über die Autorin bzw. den Autor

Ioannis Karatzas, Columbia University, New York, NY.

Constantinos Kardaras, London School of Economics and Political Science, UK.

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Weitere beliebte Ausgaben desselben Titels

9781470460143: Portfolio Theory and Arbitrage: A Course in Mathematical Finance (Graduate Studies in Mathematics, 214)

Vorgestellte Ausgabe

ISBN 10:  1470460149 ISBN 13:  9781470460143
Verlag: American Mathematical Society, 2022
Hardcover