Книга “Mathematical Finance” автора Жака Янссена представляет собой подробное исследование финансовой математики. В дополнение к исключительной глубине книги, она предлагает изучение аксиоматического подхода, который идеально подходит для анализа финансовых проблем. Эта книга предназначена для MBA, финансовых инженеров, прикладных математиков, банков, страховых компаний и студентов бизнес-школ, экономики, прикладной математики, финансового инжиниринга, банков и многих других.
Of the book 'Mathematical Finance' by Jacques Janssen -- so far I have not read this book, but here is a description: This is a book about Mathematical Finance. The book covers this topic in great depth, and it also uses an axiomatic framework which proves to be very feasible for analyzing financial matters. This approach could probably be interesting to MBA students (Masters in Business Administration), Financial Engineers, Computational Mathematicians and other types of professionals involved with banks, insurance companies as well as students of business schools, economics, applied mathematics and related disciplines.
This book takes a detailed look at financial mathematics. In addition, to this extraordinary depth, a study devoted to an axiomatic system is offered to solve financial issues, which is ideal for the field. All readers benefit from its clear explanations and wide varieties of topics.
Электронная Книга «Mathematical Finance» написана автором Jacques Janssen в году.
Минимальный возраст читателя: 0
Язык: Английский
ISBN: 9780470394328
Описание книги от Jacques Janssen
This book provides a detailed study of Financial Mathematics. In addition to the extraordinary depth the book provides, it offers a study of the axiomatic approach that is ideally suited for analyzing financial problems. This book is addressed to MBA's, Financial Engineers, Applied Mathematicians, Banks, Insurance Companies, and Students of Business School, of Economics, of Applied Mathematics, of Financial Engineering, Banks, and more.