Analytical Finance : The Mathematics of Equity Interest Rate Derivatives, Markets, Risk and Valuation. Questo articolo non è disponibile.
Lingua: inglese
Editore: Palgrave Macmillan, 2017
- Brossura
- Nuovo

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Codice articolo 28748700-n
- Titolo
- Analytical Finance : The Mathematics of Equity Interest Rate Derivatives, Markets, Risk and Valuation
- Autore
- Röman, Jan R. M.
- Editore
- Palgrave Macmillan
- Anno di pubblicazione
- 2017
- Condizione
- New
- Rilegatura
- Brossura
- Lingua
- inglese
- ISBN 10
- 3319525832
- ISBN 13
- 9783319525839
Analytical Finance is a comprehensive introduction to the financial engineering of equity and interest rate instruments for financial markets. Developed from notes from the authors many years in quantitative risk management and modeling roles, and then for the Financial Engineering course at Mälardalen University, it provides exhaustive coverage of vanilla and exotic mathematical finance applications for trading and risk management, combining rigorous theory with real market application.
Coverage includes:
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Informazioni sull’autore
Jan Roman is Financial Engineer in the Quantitative Risk Modelling Group at Swedbank Robur Funds, where he specializes in risk model validation, focusing on all inputs to front office systems including interest rates and volatility structures. He has over 16 years financial markets experience mostly in financial modeling and valuation in derivatives environments. He has held positions as Head of Market and Credit Risk, Swedbank Markets, Senior Risk Analyst at the Swedish financial Supervisory Authority, Senior Developer at SunGard and Senior Developer, OMX Stockholm Exchange.
Jan is also Senior Lecturer, Malardaran University, Sweden, where he teaches Analytical finance and financial engineering. He holds a PhD in Theoretical Physics from Chalmers University of Technology.
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