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Showing 1 - 3 of 3 matches in All Departments

Introduction to Quantitative Methods for Financial Markets (Paperback, 2013 ed.): Hansjoerg Albrecher, Andreas Binder, Volkmar... Introduction to Quantitative Methods for Financial Markets (Paperback, 2013 ed.)
Hansjoerg Albrecher, Andreas Binder, Volkmar Lautscham, Philipp Mayer
R2,116 Discovery Miles 21 160 Ships in 12 - 17 working days

Swaps, futures, options, structured instruments - a wide range of derivative products is traded in today's financial markets. Analyzing, pricing and managing such products often requires fairly sophisticated quantitative tools and methods. This book serves as an introduction to financial mathematics with special emphasis on aspects relevant in practice. In addition to numerous illustrative examples, algorithmic implementations are demonstrated using "Mathematica" and the software package "UnRisk" (available for both students and teachers). The content is organized in 15 chapters that can be treated as independent modules.

In particular, the exposition is tailored for classroom use in a Bachelor or Master program course, as well as for practitioners who wish to further strengthen their quantitative background.

Advanced Financial Modelling (Hardcover): Hansjoerg Albrecher, Wolfgang J Runggaldier, Walter Schachermayer Advanced Financial Modelling (Hardcover)
Hansjoerg Albrecher, Wolfgang J Runggaldier, Walter Schachermayer
R8,447 Discovery Miles 84 470 Ships in 10 - 15 working days

This book is a collection of state-of-the-art surveys on various topics in mathematical finance, with an emphasis on recent modelling and computational approaches. The volume is related to a a ~Special Semester on Stochastics with Emphasis on Financea (TM) that took place from September to December 2008 at the Johann Radon Institute for Computational and Applied Mathematics of the Austrian Academy of Sciences in Linz, Austria.

Einfuhrung in Die Finanzmathematik (German, Paperback, 2009 ed.): Hansjoerg Albrecher, Andreas Binder, Philipp Mayer Einfuhrung in Die Finanzmathematik (German, Paperback, 2009 ed.)
Hansjoerg Albrecher, Andreas Binder, Philipp Mayer
R653 Discovery Miles 6 530 Ships in 10 - 15 working days

Optionen, Futures, Swaps, strukturierte Investments - auf den heutigen Finanzmarkten werden eine Fulle so genannter derivativer (abgeleiteter) Finanzinstrumente gehandelt. Deren Bewertung und Risikomanagement sind Gegenstand der modernen Finanzmathematik. Dieses Buch fuhrt an entsprechende Fragestellungen, Denkweisen und Losungskonzepte heran und legt dabei besonderes Augenmerk auf praxisrelevante Aspekte und Modelle. Die algorithmische Umsetzung der Losungskonzepte wird in zahlreichen Beispielen mit dem Software-Paket "UnRisk" illustriert. Dieses wird Dozenten und Studierenden (zeitlich begrenzt) zur Verfugung gestellt und bietet uber die Plattform "Mathematica" eine graphisch ansprechende Oberflache.

Die vorliegende Einfuhrung ist speziell fur Veranstaltungen in Bachelor-Studiengangen konzipiert."

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