楼主: linmao001
1400 1

Fabozzi,The Mathematics of Financial Modeling and Investment Management.[2004] [推广有奖]

  • 0关注
  • 0粉丝

已卖:904份资源

博士生

56%

还不是VIP/贵宾

-

威望
0
论坛币
8921 个
通用积分
2.5300
学术水平
1 点
热心指数
1 点
信用等级
2 点
经验
2005 点
帖子
44
精华
0
在线时间
551 小时
注册时间
2006-1-17
最后登录
2016-8-20

楼主
linmao001 发表于 2009-8-9 17:43:59 |AI写论文

+2 论坛币
k人 参与回答

经管之家送您一份

应届毕业生专属福利!

求职就业群
赵安豆老师微信:zhaoandou666

经管之家联合CDA

送您一个全额奖学金名额~ !

感谢您参与论坛问题回答

经管之家送您两个论坛币!

+2 论坛币
Fabozzi,The Mathematics of Financial Modeling and Investment Management.[2004].pdf (16.07 MB, 需要: 5 个论坛币) The Mathematics of Financial Modeling and Investment Management
Sergio M. Focardi, Frank J. Fabozzi
ISBN: 978-0-471-46599-7
Hardcover
800 pages
March 2004


Wiley List Price: US $108.50
This price is valid for China. Change location to view local pricing and availability.

Preface. Acknowledgments. About the Authors. Commonly Used Symbols. Abbreviations and Acronyms. Chapter 1. From Art to Engineering in Finance. Chapter 2. Overview of Financial Markets, Financial Assets, and Market Participants. Chapter 3. Milestones in Financial Modeling and Investment Management. Chapter 4. Principles of Calculus. Chapter 5. Matrix Algebra. Chapter 6. Concepts of Probability. Chapter 7. Optimization. Chapter 8. Stochastic Integrals. Chapter 9. Differential Equations and Difference Equations. Chapter 10. Stochastic Differential Equations. Chapter 11. Financial Econometrics: Time Series. Chapter 12. Financial Econometrics: Model Selection, Estimation, and Testing. Chapter 13. Fat Trails, Scaling, and Stable Laws. Chapter 14. Arbitrage Pricing: Finite-State Models. Chapter 15. Arbitrage Pricing: Continuous-State, Continuous-Time Models. Chapter 16. Portfolio Selection using Mean-Variance Analysis. Chapter 17. Capital Asset pricing Model. Chapter 18. Multifactor Models and Common Trends for Common Stocks. Chapter 19. Equity Portfolio Management. Chapter 20. Term Structure Modeling and Valuation of Bonds and Bond Optics. Chapter 21. Bond Portfolio Management. Chapter 22. Credit Risk Modeling and Credit Default Swaps. Chapter 23. Risk Management. Index.
二维码

扫码加我 拉你入群

请注明:姓名-公司-职位

以便审核进群资格,未注明则拒绝

关键词:mathematics Investment Management Mathematic Managemen Finance Fabozzi

沙发
三江鸿(未真实交易用户) 发表于 2023-1-21 10:11:11 来自手机
点个赞感谢分享

您需要登录后才可以回帖 登录 | 我要注册

本版微信群
加好友,备注jr
拉您进交流群
GMT+8, 2025-12-26 16:10