Handbooks and Mathematical Finance: Option Pricing, Interest Rates and Risk Management

handbooks and mathematical finance: option pricing, interest rates and risk management

more information about Handbooks and Mathematical Finance: Option Pricing, Interest Rates and Risk Management

Handbooks and Mathematical Finance: Option Pricing, Interest Rates and Risk Management

Editorial Reviews
Review
'The blurb describes it as a 'handbook' and 'comprehensive reference work' and it will certainly be a useful reference work for people undertaking research in the area. I have to say also that it has been beautifully produced.' D. J. Hand, Short Book Reviews

Book Description
This handbook presents the current state of practice, method and understanding in the field of mathematical finance. Each chapter, written by leading researchers, starts by briefly surveying the existing results for a given topic, then discusses more recent results and, finally, points out open problems with outlines for possible solutions. The primary audiences for the book are doctoral students, researchers and practitioners who already have some basic knowledge of mathematical finance. This comprehensive reference work will be indispensable to readers who need a quick introduction or references to specific topics within this cutting-edge material.

Handbooks and Mathematical Finance: Option Pricing, Interest Rates and Risk Management

Handbooks and Mathematical Finance: Option Pricing, Interest Rates and Risk Management,E. Jouini,J. Cvitanic,Marek Musiela,Cambridge University Press,0521792371,Business / Economics / Finance,Derivative securities,Finance,Interest rates,Mathematical models,Mathematics,Prices,Probability & Statistics - General,Risk management,Science/Mathematics,Derivative securities--Prices--Mathematical models,Mathematical modelling,Mathematics / Applied

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