Mathematics of Financial Markets (Hardcover, 2nd ed. 2005)

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Recent years have seen a number of introductory texts which focus on the applications of modern stochastic calculus to the theory of finance, and on the pricing models for derivative securities in particular. Some of these books develop the mathematics very quickly, making substantial demands on the readerOs background in advanced probability theory. Others emphasize the financial applications and do not attempt a rigorous coverage of the continuous-time calculus. This book provides a rigorous introduction for those who do not have a good background in stochastic calculus. The emphasis is on keeping the discussion self-contained rather than giving the most general results possible.

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Product Description

Recent years have seen a number of introductory texts which focus on the applications of modern stochastic calculus to the theory of finance, and on the pricing models for derivative securities in particular. Some of these books develop the mathematics very quickly, making substantial demands on the readerOs background in advanced probability theory. Others emphasize the financial applications and do not attempt a rigorous coverage of the continuous-time calculus. This book provides a rigorous introduction for those who do not have a good background in stochastic calculus. The emphasis is on keeping the discussion self-contained rather than giving the most general results possible.

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Product Details

General

Imprint

Springer-Verlag New York

Country of origin

United States

Series

Springer Finance Textbooks

Release date

October 2004

Availability

Expected to ship within 12 - 17 working days

First published

2005

Authors

,

Dimensions

235 x 155 x 20mm (L x W x T)

Format

Hardcover

Pages

354

Edition

2nd ed. 2005

ISBN-13

978-0-387-21292-0

Barcode

9780387212920

Categories

LSN

0-387-21292-2



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