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Mathematical Finance

J Janssen (Autor)

Software / Digital Media
720 Seiten
2010
Wiley-Blackwell (Hersteller)
978-0-470-61169-2 (ISBN)
303,21 inkl. MwSt
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This book provides a detailed study of Financial Mathematics. In addition to the extraordinary depth the book provides, it offers a study of the axiomatic approach that is ideally suited for analyzing financial problems.
This book provides a detailed study of Financial Mathematics. In addition to the extraordinary depth the book provides, it offers a study of the axiomatic approach that is ideally suited for analyzing financial problems. This book is addressed to MBA's, Financial Engineers, Applied Mathematicians, Banks, Insurance Companies, and Students of Business School, of Economics, of Applied Mathematics, of Financial Engineering, Banks, and more.

Jacques Janssen is Honorary Professor at the Solvay Business School in Brussels, Belgium. He has previously taught at EURIA and been a director of Jacan Insurance and Finance Services, a consultancy and training company. Raimondo Manca is professor of mathematical methods applied to economics, finance and actuarial science at University of Rome "La Sapienza" in Italy. He is associate editor for the journal Methodology and Computing in Applied Probability. His main research interests are multidimensional linear algebra, computational probability, application of stochastic processes to economics, finance and insurance and simulation models.

Erscheint lt. Verlag 28.1.2010
Verlagsort Hoboken
Sprache englisch
Themenwelt Mathematik / Informatik Mathematik
Wirtschaft Betriebswirtschaft / Management Finanzierung
ISBN-10 0-470-61169-3 / 0470611693
ISBN-13 978-0-470-61169-2 / 9780470611692
Zustand Neuware
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