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\nThis book bridges the gap between the theory of mathematical finance and the practical applications of these concepts for derivative pricing and portfolio management. The book provides students with a very hands-on, rigorous introduction to foundational topics in quant finance.\n
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This book bridges the gap between the theory of mathematical finance and the practical applications of these concepts for derivative pricing and portfolio management. The book provides students with a very hands-on, rigorous introduction to foundational topics in quant finance.
\n ascunde descrierea- Editură: Taylor & Francis Ltd
- Cod:
- Anul publicării: 2022
- Limba: Engleză
- Legarea: Copertă cartonată
- Număr de pagini: 659
- Lățimea ambalajului: 26 cm
- Înălțimea ambalajului: 18.5 cm
- Adâncimea ambalajului: 4.6 cm
- Greutatea ambalajului: 1.5 kg
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