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Problems and Solutions in Mathematical Finance Volume II - Equity Derivatives (Hardcover)
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Problems and Solutions in Mathematical Finance Volume II - Equity Derivatives (Hardcover)
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Detailed guidance on the mathematics behind equity derivatives
Problems and Solutions in Mathematical Finance Volume II is an
innovative reference for quantitative practitioners and students,
providing guidance through a range of mathematical problems
encountered in the finance industry. This volume focuses solely on
equity derivatives problems, beginning with basic problems in
derivatives securities before moving on to more advanced
applications, including the construction of volatility surfaces to
price exotic options. By providing a methodology for solving
theoretical and practical problems, whilst explaining the
limitations of financial models, this book helps readers to develop
the skills they need to advance their careers. The text covers a
wide range of derivatives pricing, such as European, American,
Asian, Barrier and other exotic options. Extensive appendices
provide a summary of important formulae from calculus, theory of
probability, and differential equations, for the convenience of
readers. As Volume II of the four-volume Problems and Solutions in
Mathematical Finance series, this book provides clear explanation
of the mathematics behind equity derivatives, in order to help
readers gain a deeper understanding of their mechanics and a firmer
grasp of the calculations. * Review the fundamentals of equity
derivatives * Work through problems from basic securities to
advanced exotics pricing * Examine numerical methods and detailed
derivations of closed-form solutions * Utilise formulae for
probability, differential equations, and more Mathematical finance
relies on mathematical models, numerical methods, computational
algorithms and simulations to make trading, hedging, and investment
decisions. For the practitioners and graduate students of
quantitative finance, Problems and Solutions in Mathematical
Finance Volume II provides essential guidance principally towards
the subject of equity derivatives.
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