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Market Risk Analysis - Quantitative Methods In Finance, Volume 1 +Cd(ISBN=9780470998007)书籍详细信息
- ISBN:9780470998007
- 作者:暂无作者
- 出版社:暂无出版社
- 出版时间:2008-06
- 页数:暂无页数
- 价格:545.80
- 纸张:胶版纸
- 装帧:精装
- 开本:16开
- 语言:未知
- 丛书:暂无丛书
- TAG:暂无
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内容简介:
Written by leading market risk academic, Professor Carol
Alexander, Quantitative Methods in Finance forms part one of the
Market Risk Analysis four volume set. Starting from the basics,
this book helps readers to take the first step towards becoming a
properly qualified financial risk manager and asset manager, roles
that are currently in huge demand. Accessible to intelligent
readers with a moderate understanding of mathematics at high school
level or to anyone with a university degree in mathematics, physics
or engineering, no prior knowledge of finance is necessary. Instead
the emphasis is on understanding ideas rather than on mathematical
rigour, meaning that this book offers a fast-track introduction to
financial analysis for readers with some quantitative background,
highlighting those areas of mathematics that are particularly
relevant to solving problems in financial risk management and asset
management. Unique to this book is a focus on both continuous and
discrete time finance so that Quantitative Methods in Finance is
not only about the application of mathematics to finance; it also
explains, in very pedagogical terms, how the continuous time and
discrete time finance disciplines meet, providing a comprehensive,
highly accessible guide which will provide readers with the tools
to start applying their knowledge immediately.
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作者介绍:
Carol Alexander is a Professor of Risk Management at the ICMA
Centre, University of Reading, and Chair of the Academic Advisory
Council of the Professional Risk Manager’s International
Association (PRMIA). She is the author of Market Models: A Guide to
Financial Data Analysis(John Wiley & Sons Ltd, 2001) and has
been editor and contributor of a very large number of books in
finance and mathematics, including the multi-volume Professional
Risk Manager’s Handbook(McGraw-Hill, 2008 and PRMIA Publications).
Carol has published nearly 100 academic journal articles, book
chapters and books, the majority of which focus on financial risk
management and mathematical finance.
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