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Mathematical Finance and Probability

69,54 €*

Sofort verfügbar, Lieferzeit: 1-3 Tage

Produktnummer: 18506c69b470014caf9e6e8d70a5c66135
Autor: Koch Medina, Pablo Merino, Sandro
Themengebiete: Asset Pricing Excel Markov Chain Markov Chains Measure Options Portfolio Probability space Probability theory Random variable
Veröffentlichungsdatum: 11.12.2002
EAN: 9783764369217
Sprache: Englisch
Seitenzahl: 328
Produktart: Kartoniert / Broschiert
Verlag: Springer Basel
Untertitel: A Discrete Introduction
Produktinformationen "Mathematical Finance and Probability"
On what grounds can one reasonably expect that a complex financial contract solving a complex real-world issue does not deserve the same thorough scientific treatment as an aeroplane wing or a micro-proces sor? Only ignorance would suggest such an idea. E. Briys and F. De Varenne The objective of this book is to give a self-contained presentation of that part of mathematical finance devoted to the pricing of derivative instruments. During the past two decades the pricing of financial derivatives - or more generally: mathematical finance - has steadily won in importance both within the financial services industry and within the academic world. The complexity of the mathemat ics needed to master derivatives techniques naturally resulted in a high demand for quantitatively oriented professionals (mostly mathematicians and physicists) in the banking and insurance world. This in turn triggered a demand for university courses on the relevant topics and at the same time confronted the mathematical community with an interesting field of application for many techniques that had originally been developed for other purposes. Most probably this development was accelerated by an ever more applied orientation of the mathematics curriculum and the fact that finance institutions were often willing to generously support research in this field.
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