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    1. Naturvetenskap och teknik
    2. Matematik och naturvetenskap
    3. Matematik
    4. Tillämpad matematik

    Mathematical Methods For Foreign Exchange: A Financial Engineer's Approach

    AvAlexander Lipton

    Häftad, Engelska, 2001

    1 151 kr

    Beställningsvara. Skickas inom 5-8 vardagar. Fri frakt över 249 kr.

    Fler format och utgåvor

    Inbunden

    1 892 kr

    Beskrivning

    This comprehensive book presents a systematic and practically oriented approach to mathematical modeling in finance, particularly in the foreign exchange context. It describes all the relevant aspects of financial engineering, including derivative pricing, in detail. The book is self-contained, with the necessary mathematical, economic, and trading background carefully explained. In addition to the lucid treatment of the standard material, it describes many original results.The book can be used both as a text for students of financial engineering, and as a basic reference for risk managers, traders, and academics.

    Produktinformation

    • Utgivningsdatum:2001-10-16
    • Mått:164 x 219 x 37 mm
    • Vikt:928 g
    • Format:Häftad
    • Språk:Engelska
    • Antal sidor:700
    • Förlag:World Scientific Publishing Co Pte Ltd
    • ISBN:9789810248239

    Utforska kategorier

    • Tillämpad matematik inom Naturvetenskap och teknik
    • Internationell ekonomi inom Ekonomi och Ledarskap
    • Makroekonomi inom Ekonomi och Ledarskap

    Mer om författaren

    Alexander Lipton, PhD, is a Director in the Global Foreign Exchange Division at Deutsche Bank and an Adjunct Professor of Mathematics at the University of Illinois. In addition to Mathematical Methods for Foreign Exchange, he is the author of one other book, as well as numerous research papers and technical reports on financial engineering and applied mathematics. In January 2000, Dr Lipton became the first recipient of the prestigious Quant of the Year Award by the Magazine Risk.

    Innehållsförteckning

    • Introduction: Foreign Exchange Markets; Mathematical Preliminaries: Elements of Probability Theory; Discrete-Time Stochastic Engines; Continuous-Time Stochastic Engines; Discrete-Time Models: Single-Period Markets; Multi-Period Markets; Continuous-Time Models: Stochastic Dynamics of Forex; European Options: The Group-Theoretical Approach; European Options, the Classical Approach; Deviations from the Black-Scholes Paradigm I: Nonconstant Volatility; American Options; Path-Dependent Options I: Barrier Options: Path-Dependent Options II: Lookback, Asian and other Options; Deviations from the Black-Scholes Paradigm II: Market Frictions; Future Directions of Research and Conclusions.
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