Stochastic Financial Models
Douglas (Trinity College, Cambridge, UK) Kennedy
Taylor & Francis Ltd, 2010
157,50 €On orderDelivery: 2-3 weeks
Offers a hands-on introduction to mathematical finance. This title includes the relevant mathematical background as well as many exercises with solutions. It presents the classical topics of utility and the mean-variance approach to portfolio choice.
- ISBN-13
- 9781420093452
- ISBN-10
- 1420093452
- Publisher
- Taylor & Francis Ltd
- Year
- 2010
- Publication date
- 2010-01-15
- Pages
- 272
- Dimensions
- 245x164x21
- Weight
- 532