Mastering Mathematical Finance Series

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Discrete Models of Financial Markets
Cambridge University Press (2012)
US$28.00

An excellent basis for further study. Suitable even for readers with no mathematical background.

Numerical Methods in Finance with C++
Cambridge University Press (2012)
US$32.00

This book provides aspiring quant developers with the numerical techniques and programming skills...

Portfolio Theory and Risk Management
Cambridge University Press (2014)
US$32.00

A rigorous account of classical portfolio theory and a simple introduction to modern risk measures...

Stochastic Calculus for Finance
Cambridge University Press (2012)
US$24.00

This book introduces key results essential for financial practitioners by means of concrete examples...

The Black–Scholes Model
Cambridge University Press (2012)
US$24.00

Master the essential mathematical tools required for option pricing within the context of a...

Probability for Finance
Cambridge University Press (2013)
US$24.00

A rigorous, unfussy introduction to modern probability theory that focuses squarely on applications...

Credit Risk
Cambridge University Press (2016)
US$32.00

This master's-level introduction to mainstream credit risk modelling balances rigorous theory with...

Stochastic Interest Rates
Cambridge University Press (2015)
US$32.00

Designed for Master's students, this practical text strikes the right balance between mathematical...