Probability for Finance
Inbunden, Engelska, 2013
Av Ekkehard (University of Hull) Kopp, Krakow) Malczak, Jan (AGH University of Science and Technology, Tomasz (University of York) Zastawniak, Ekkehard Kopp, Jan Malczak, Tomasz Zastawniak
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Students and instructors alike will benefit from this rigorous, unfussy text. It keeps a clear focus on the basic probabilistic concepts required for an understanding of financial market models, including independence, conditioning and limit theorems for random sequences. Motivational examples, careful proofs and plenty of exercises facilitate self-study.
Produktinformation
- Utgivningsdatum2013-11-21
- Mått156 x 235 x 16 mm
- Vikt420 g
- SpråkEngelska
- SerieMastering Mathematical Finance
- Antal sidor196
- FörlagCambridge University Press
- EAN9781107002494