Basic Financial Mathematics

Financial Mathematics: Theory and Problems for Multi-period Models  eBooks & eLearning

Posted by tarantoga at Feb. 15, 2017
Financial Mathematics: Theory and Problems for Multi-period Models

Andrea Pascucci, Wolfgang J. Runggaldier, "Financial Mathematics: Theory and Problems for Multi-period Models (UNITEXT)"
ISBN: 8847025370 | 2012 | EPUB | 303 pages | 18 MB

Financial Mathematics [Repost]  eBooks & eLearning

Posted by ChrisRedfield at Feb. 8, 2016
Financial Mathematics [Repost]

Elyes Jouini, J.C. Rochet, Wolfgang J. Runggaldier - Financial Mathematics
Published: 1997-03-20 | ISBN: 3540626425 | PDF + DJVU | 316 pages | 16.74 MB
Mastering Financial Mathematics in Microsoft Excel: A practical guide to business calculations

Alastair Day, "Mastering Financial Mathematics in Microsoft Excel: A practical guide to business calculations"
English | ISBN: 1292067500 | 2015 | EPUB/MOBI | 392 pages | 20 MB/22 MB

Financial Mathematics by Bruno Biais [Repost]  eBooks & eLearning

Posted by tanas.olesya at May 5, 2015
Financial Mathematics by Bruno Biais [Repost]

Financial Mathematics: Lectures given at the 3rd Session of the Centro Internazionale Matematico Estivo by Bruno Biais
English | Mar 20, 1997 | ISBN: 3540626425 | 316 Pages | PDF | 13.58 MB

Financial Mathematics is an exciting, emerging field of application. The five sets of course notes in this book provide a bird's eye view of the current "state of the art" and directions of research. For graduate students it will therefore serve as an introduction to the field while reseachers will find it a compact source of reference.
Options Pricing and Portfolio Optimization: Modern Methods of Financial Mathematics (Repost)

Ralf Korn and Elke Korn, "Options Pricing and Portfolio Optimization: Modern Methods of Financial Mathematics"
English | ISBN: 0821821237 | 2001 | 272 pages | Djvu | 3 MB
Probability and Statistical Models: Foundations for Problems in Reliability and Financial Mathematics

Arjun K. Gupta, Wei-Bin Zeng, Yanhong Wu, "Probability and Statistical Models: Foundations for Problems in Reliability and Financial Mathematics"
2010 | pages: 278 | ISBN: 0817649867 | PDF | 1,2 mb

Elementary Calculus of Financial Mathematics  eBooks & eLearning

Posted by fdts at Nov. 13, 2014
Elementary Calculus of Financial Mathematics

Elementary Calculus of Financial Mathematics
by A.J. Roberts
English | 2008 | ISBN: 0898716675 | 140 pages | PDF | 1.7 MB
Options Pricing and Portfolio Optimization: Modern Methods of Financial Mathematics

Ralf Korn and Elke Korn, "Options Pricing and Portfolio Optimization: Modern Methods of Financial Mathematics"
English | ISBN: 0821821237 | 2001 | 272 pages | Djvu | 3 MB

Financial Mathematics: Theory and Problems for Multi-period Models (repost)  eBooks & eLearning

Posted by libr at Sept. 26, 2014
Financial Mathematics: Theory and Problems for Multi-period Models (repost)

Financial Mathematics: Theory and Problems for Multi-period Models by Andrea Pascucci and Wolfgang J. Runggaldier
English | ISBN: 8847025370 | 2012 | PDF | 303 pages | 2,3 MB

With the Bologna Accords a bachelor-master-doctor curriculum has been introduced in various countries with the intention that students may enter the job market already at the bachelor level. Since financial Institutions provide non negligible job opportunities also for mathematicians, and scientists in general, it appeared to be appropriate to have a financial mathematics course already at the bachelor level in mathematics.

Financial Mathematics: Theory and Problems for Multi-period Models (repost)  eBooks & eLearning

Posted by interes at May 11, 2014
Financial Mathematics: Theory and Problems for Multi-period Models (repost)

Financial Mathematics: Theory and Problems for Multi-period Models by Andrea Pascucci and Wolfgang J. Runggaldier
English | ISBN: 8847025370 | 2012 | PDF | 303 pages | 2,3 MB

With the Bologna Accords a bachelor-master-doctor curriculum has been introduced in various countries with the intention that students may enter the job market already at the bachelor level. Since financial Institutions provide non negligible job opportunities also for mathematicians, and scientists in general, it appeared to be appropriate to have a financial mathematics course already at the bachelor level in mathematics.