Год издания: 2005
Количество страниц: 220
В продаже с 18.01.2012
Как только книга Finance and Derivatives: Theory and Practice станет доступна для заказа в одном из интернет-магазинов, Вам на e-mail будет отправлено уведомление.Укажите e-mail для связи:
Finance and Derivatives teaches all of the fundamentals of quantitative finance clearly and concisely without going into unnecessary technicalities. You'll pick up the most important theoretical concepts, tools and vocabulary without getting bogged down in arcane derivations or enigmatic theoretical considerations. --Paul Wilmott Finance and Derivatives: Theory and Practice is a collection of exercises accompanied by the relevant financial theory, covering key topics that include: present value, arbitrage pricing, portfolio theory, derivates pricing, delta-hedging and the BlackScholes model. As well as being ideally placed to complement undergraduate and postgraduate studies, Finance and Derivatives: Theory and Practice is also highly valuable as a self-study guide for practitioners. Key Features: * No prior finance background is required, as the book starts with basic notions and gradually increases in difficulty through each...