Advanced Financial Modelling
| PUBLISHER | de Gruyter (10/16/2009) |
| PRODUCT TYPE | Hardcover (Hardcover) |
Description
This book is a collection of state-of-the-art surveys on various topics in mathematical finance, with an emphasis on recent modelling and computational approaches. The volume is related to a 'Special Semester on Stochastics with Emphasis on Finance' that took place from September to December 2008 at the Johann Radon Institute for Computational and Applied Mathematics of the Austrian Academy of Sciences in Linz, Austria.
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Product Format
Product Details
ISBN-13:
9783110213133
ISBN-10:
3110213133
Binding:
Hardback or Cased Book (Sewn)
Content Language:
English
More Product Details
Page Count:
461
Carton Quantity:
16
Product Dimensions:
6.69 x 1.00 x 9.61 inches
Weight:
2.06 pound(s)
Country of Origin:
DE
Subject Information
BISAC Categories
Mathematics | Probability & Statistics - General
Mathematics | Applied
Mathematics | Differential Equations - General
Grade Level:
Post Graduate
- Post Graduate
Dewey Decimal:
519.5
Descriptions, Reviews, Etc.
publisher marketing
This book is a collection of state-of-the-art surveys on various topics in mathematical finance, with an emphasis on recent modelling and computational approaches. The volume is related to a 'Special Semester on Stochastics with Emphasis on Finance' that took place from September to December 2008 at the Johann Radon Institute for Computational and Applied Mathematics of the Austrian Academy of Sciences in Linz, Austria.
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List Price $320.00
Your Price
$316.80
