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Mathematical Models in Finance.

Mathematical Models in Finance. 財務の数理モデル

・ISBN 978-0-412-63070-5 hard

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著者・編者Howison, S. D. / F. P. Kelly et al (eds.),
出版社(Chapman & Hall, UK)
出版年月1995
ページ数152 pp.
言語ENG
ニュース番号<409-640>

解説

Mathematical Models in Finance compiles papers presented at the Royal Society of London discussion meeting. Topics range from the foundations of classical theory to sophisticated, up-to-date mathematical modeling and analysis. In the wake of the increased level of mathematical awareness in the financial research community, attention has focused on fundamental issues of market modelling that are not adequately allowed for in the standard analyses. Examples include market anomalies and nonlinear coupling effects, and demand new synthesis of mathematical and numerical techniques. This line of inquiry is further stimulated by ever tightening profits due to increased competition. Several papers in this volume offer pointers to future developments in this area.