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Mathematical Methods for Finance: Tools for Asset and Risk Management.

FOCARDI Sergio M. ; FABOZZI Frank J. ; BALI Turan G.

WILEY

2013

302

131.99-FOCAR

FINANCIAL MATHEMATICS ; FINANCIAL THEORY ; MATHEMATICAL ANALYSIS ; MATRIX ALGEBRA ; ALGEBRA ; PROBABILITIES ; PORTFOLIO MANAGEMENT


Number of copies : 1
No. Call n° Bar code Commentary
1 [available]

ISBN 13 : 978-1-118-31263-6

Contents : Preface
About the Authors
CHAPTER 1 Basic Concepts: Sets, Functions, and Variables
CHAPTER 2 Differential Calculus
CHAPTER 3 Integral Calculus
CHAPTER 4 Matrix Algebra
CHAPTER 5 Probability: Basic Concepts
CHAPTER 6 Probability: Random Variables and Expectations
CHAPTER 7 Optimization
CHAPTER 8 Difference Equations
CHAPTER 9 Differential Equations
CHAPTER 10 Stochastic Integrals
CHAPTER 11 Stochastic Differential Equations
Key Points
Index

Nbre volumes : 0

Language : English

Series : THE FRANK J. FABOZZI SERIES

Place of publishing : TORONTO

Location : Nice Library

Material : Paper

Statement : Présent

Faculty's books : Oui

Owner : Bibliothèque

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