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[统计套利] [金融市场的数量分析]Introduction to Quantitative Methods for Financial Markets   [推广有奖]

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lasgpope 学生认证  发表于 2015-6-6 14:07:18 |AI写论文

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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.

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Introduction to Quantitative Methods for Financial Markets_2013.pdf (3.02 MB, 需要: 10 个论坛币)

Review

From the reviews:
“The aim of this book is twofold. Firstly to equip the reader with the fundamental mathematical skills associated with modern finance and secondly to relate these skills to practical outcomes. … It is written as an introductory text for senior undergraduates or early graduate students with a reasonable background in mathematics. … For the interested reader references are provided if they wish to further enrich their knowledge. Also, at the end of each chapter a number of beneficial exercises are provided.” (John O’Hara, zbMATH, Vol. 1273, 2013)


From the Back Cover

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.



Product Details
  • Series: Compact Textbooks in Mathematics
  • Paperback: 191 pages
  • Publisher: Birkhäuser; 2013 edition (June 27, 2013)
  • Language: English
  • ISBN-10: 3034805187
  • ISBN-13: 978-3034805186
  • Product Dimensions: 6.1 x 0.5 x 9.2 inches
  • Shipping Weight: 10.4 ounces



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关键词:introduction Quantitative QUANTITATIV troduction financial structured software products practice addition

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沙发
MIRZAT(未真实交易用户) 发表于 2015-6-6 14:12:18
taihaola

藤椅
vegebeef(真实交易用户) 发表于 2015-6-6 14:14:36
关注!

板凳
duoduoduo(真实交易用户) 在职认证  发表于 2015-6-6 14:16:00
好书,就是这个软件不熟悉

报纸
zgq.8026(真实交易用户) 发表于 2015-6-6 14:26:14
很好的一本书,感谢分享

地板
yangke74(真实交易用户) 在职认证  发表于 2015-6-6 15:00:02
好书,支持一下

7
晓七(真实交易用户) 在职认证  发表于 2015-6-6 16:35:18

8
托茨卡纳(真实交易用户) 发表于 2015-6-6 17:08:57
有中文翻译的吗?

9
richardchan003(真实交易用户) 发表于 2015-6-6 18:13:17
xie xie

10
wuliren(未真实交易用户) 发表于 2015-6-6 18:30:01
thanks for sharing

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