The Concepts and Practice of Mathematical Finance (Mathematics, Finance and Risk, Series Number 1)
ISBN-13:
9780521823555
ISBN-10:
0521823552
Edition:
First Edition
Author:
Mark S. Joshi
Publication date:
2004
Publisher:
Cambridge University Press
Format:
Hardcover
492 pages
Category:
Economics
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Book details
ISBN-13:
9780521823555
ISBN-10:
0521823552
Edition:
First Edition
Author:
Mark S. Joshi
Publication date:
2004
Publisher:
Cambridge University Press
Format:
Hardcover
492 pages
Category:
Economics
Summary
The Concepts and Practice of Mathematical Finance (Mathematics, Finance and Risk, Series Number 1) (ISBN-13: 9780521823555 and ISBN-10: 0521823552), written by authors
Mark S. Joshi, was published by Cambridge University Press in 2004.
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Description
This introductory text provides a clear understanding of the intuition behind derivatives pricing, how models are implemented, and how they are used and adapted in practice. M. Joshi covers the strengths and weaknesses of such models as stochastic volatility, jump diffusion, and variance gamma, as well as the Black-Scholes. Examples and exercises, with answers, as well as computer projects, challenge the mind and encourage learning how to become a good quantitative analyst.
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