Introducing Financial Mathematics : Theory, Binomial Models, and Applications
Book Details
Format
Hardback or Cased Book
ISBN-10
1032359854
ISBN-13
9781032359854
Publisher
Taylor & Francis Ltd
Imprint
Chapman & Hall/CRC
Country of Manufacture
GB
Country of Publication
GB
Publication Date
Nov 9th, 2022
Print length
292 Pages
Weight
562 grams
Dimensions
16.20 x 24.10 x 2.30 cms
Product Classification:
MathematicsProbability & statisticsApplied mathematics
Ksh 15,650.00
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This book seeks to replace existing books with a more rigorous stand-alone text that covers fewer examples but with more proofs, and also provides example computer programs, mainly in Octave/MATLAB but also as spreadsheets and Macsyma scripts, with which students may experiment on real data.
Introducing Financial Mathematics: Theory, Binomial Models, and Applications seeks to replace existing books with a rigorous stand-alone text that covers fewer examples in greater detail with more proofs. The book uses the fundamental theorem of asset pricing as an introduction to linear algebra and convex analysis. It also provides example computer programs, mainly Octave/MATLAB functions but also spreadsheets and Macsyma scripts, with which students may experiment on real data.The text''s unique coverage is in its contemporary combination of discrete and continuous models to compute implied volatility and fit models to market data. The goal is to bridge the large gaps among nonmathematical finance texts, purely theoretical economics texts, and specific software-focused engineering texts.
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