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Mathematics of the Financial Markets

Mathematics of the Financial Markets


The valuation and risk dimensions of financial instruments, and, to some extent, the way they behave, rest on a vast, complex set of mathematical models grouped into what is called quantitative finance. Today more than ever, it should be required that each and every one involved in financial markets or products has good command of quantitative finance. The problem is

Author: Alain Ruttiens

Pages: 351

Issue By: Blue Stone Publication

Published: 2 years ago

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