株式会社極東書店トップ商品一覧An Introduction to the Mathematics of Financial Derivatives. 2nd ed.

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An Introduction to the Mathematics of Financial Derivatives.

An Introduction to the Mathematics of Financial Derivatives. 2nd ed.

・ISBN 978-0-12-515392-8 cased

絶版

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著者・編者Neftci, Salih N.,
出版社(Academic Pr., US)
出版年月1999
ページ数458 pp.
言語ENG
ニュース番号<449-282>

解説

An Introduction to the Mathematics of Financial Derivatives, Second Edition, introduces the mathematics underlying the pricing of derivatives. The increased interest in dynamic pricing models stems from their applicability to practical situations: with the freeing of exchange, interest rates, and capital controls, the market for derivative products has matured and pricing models have become more accurate. This updated edition has six new chapters and chapter-concluding exercises, plus one thoroughly expanded chapter. The text answers the need for a resource targeting professionals, Ph.D. students, and advanced MBA students who are specifically interested in financial derivatives. This edition is also designed to become the main text in first year masters and Ph.D. programs for certain courses, and will continue to be an important manual for market professionals and professionals with mathematical, technical, or physics backgrounds.