Interest-Rate Management (Paperback, Softcover reprint of the original 1st ed. 2002)


This book combines a rigorous overview of the mathematics of financial markets with an insight into the practical application of these models to the risk and portfolio management of interest-rate derivatives. It can also serve as a valuable textbook on financial markets for graduate and PhD students in mathematics. Interesting and comprehensive case studies illustrate the theoretical concepts.


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Product Description

This book combines a rigorous overview of the mathematics of financial markets with an insight into the practical application of these models to the risk and portfolio management of interest-rate derivatives. It can also serve as a valuable textbook on financial markets for graduate and PhD students in mathematics. Interesting and comprehensive case studies illustrate the theoretical concepts.

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Product Details

General

Imprint

Springer-Verlag

Country of origin

Germany

Series

Springer Finance

Release date

December 2010

Availability

Expected to ship within 10 - 15 working days

First published

2002

Authors

Dimensions

235 x 155 x 18mm (L x W x T)

Format

Paperback

Pages

341

Edition

Softcover reprint of the original 1st ed. 2002

ISBN-13

978-3-642-08708-0

Barcode

9783642087080

Categories

LSN

3-642-08708-6



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