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Advanced Mathematical Methods for Finance


Menge:  Stück  
Produktinformationen
cover
cover
Artikel-Nr.:
     5667A-9783642435515
Hersteller:
     Springer Verlag
Herst.-Nr.:
     9783642435515
EAN/GTIN:
     9783642435515
Suchbegriffe:
Mathematik-Bücher
Mathematikbücher - englischsprachig
mathematik bücher
This book presents innovations in the mathematical foundations of financial analysis and numerical methods for finance and applications to the modeling of risk. The topics selected include measures of risk, credit contagion, insider trading, information in finance, stochastic control and its applications to portfolio choices and liquidation, models of liquidity, pricing, and hedging. The models presented are based on the use of Brownian motion, Lévy processes and jump diffusions. Moreover, fractional Brownian motion and ambit processes are also introduced at various levels. The chosen blend of topics gives an overview of the frontiers of mathematics for finance. New results, new methods and new models are all introduced in different forms according to the subject. Additionally, the existing literature on the topic is reviewed. The diversity of the topics makes the book suitable for graduate students, researchers and practitioners in the areas of financial modeling and quantitative finance. The chapters will also be of interest to experts in the financial market interested in new methods and products. This volume presents the results of the European ESF research networking program Advanced Mathematical Methods for Finance.
Weitere Informationen:
Author:
Julia Di Nunno; Bernt Øksendal
Verlag:
Springer Berlin
Sprache:
eng
Weitere Suchbegriffe: Calculus of variations, Comonotonicity applied in finance, Fractional processes in finance, Mathematical finance reviewed, Modeling of long and short range dependence, Pricing and hedging, Quantitative finance, Stochastic control with finite and infinite horizon, Stochastic finance, Stochastic modeling in finance, Stochastic partial differential equations
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