Fr. 190.90

Financial Derivatives : Pricing, Applications and Mathematics

Inglese · Copertina rigida

Spedizione di solito entro 2 a 3 settimane (il titolo viene stampato sull'ordine)

Descrizione

Ulteriori informazioni

Informationen zum Autor Jamil Baz is the chief investment strategist of GLG, a London-based hedge fund. Prior to holding this position, he was a portfolio manager with PIMCO in London, a managing director in the Proprietary Trading Group of Goldman Sachs, chief investment strategist of Deutsche Bank, and executive director of Lehman Brothers fixed income research division. Dr Baz teaches financial economics at Oxford University. He has degrees from the London School of Economics (M.Sc.), MIT (S.M.), and Harvard University (A.M., Ph.D.). Klappentext This book offers a complete, succinct account of the principles of financial derivatives pricing. The chapters provide readers with an intuitive exposition of basic random calculus, generic pricing techniques for assets and derivatives, and the pricing concepts of interest rate markets, bonds, and swaps.This book is a graduate level manual on the pricing of financial derivatives. It allows the reader with basic knowledge of finance, calculus, and probability and statistics to understand the most powerful tools in applied finance. The focus is on equity derivatives, interest rate markets, and the mathematics of pricing. Inhaltsverzeichnis 1. Introduction; 2. Preliminary mathematics; 3. Principles of financial valuation; 4. Interest rate models; 5. Mathematics of asset pricing; 6. Bibliography.

Dettagli sul prodotto

Autori Jamil Baz, George Chacko, George (Harvard Business School) Chacko, George K. Chacko
Editore Cambridge University Press Academic
 
Lingue Inglese
Formato Copertina rigida
Pubblicazione 29.02.2004
 
EAN 9780521815109
ISBN 978-0-521-81510-9
Dimensioni 159 mm x 236 mm x 24 mm
Categoria Scienze sociali, diritto, economia > Economia > Economia politica

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