Kamis, 16 Mei 2013

[A334.Ebook] Get Free Ebook An Undergraduate Introduction to Financial Mathematics (Third Edition), by J Robert Buchanan

Get Free Ebook An Undergraduate Introduction to Financial Mathematics (Third Edition), by J Robert Buchanan

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An Undergraduate Introduction to Financial Mathematics (Third Edition), by J Robert Buchanan

An Undergraduate Introduction to Financial Mathematics (Third Edition), by J Robert Buchanan



An Undergraduate Introduction to Financial Mathematics (Third Edition), by J Robert Buchanan

Get Free Ebook An Undergraduate Introduction to Financial Mathematics (Third Edition), by J Robert Buchanan

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An Undergraduate Introduction to Financial Mathematics (Third Edition), by J Robert Buchanan

This textbook provides an introduction to financial mathematics and financial engineering for undergraduate students who have completed a three- or four-semester sequence of calculus courses. It introduces the theory of interest, discrete and continuous random variables and probability, stochastic processes, linear programming, the Fundamental Theorem of Finance, option pricing, hedging, and portfolio optimization. This third edition expands on the second by including a new chapter on the extensions of the Black-Scholes model of option pricing and a greater number of exercises at the end of each chapter. More background material and exercises added, with solutions provided to the other chapters, allowing the textbook to better stand alone as an introduction to financial mathematics. The reader progresses from a solid grounding in multivariable calculus through a derivation of the Black-Scholes equation, its solution, properties, and applications. The text attempts to be as self-contained as possible without relying on advanced mathematical and statistical topics. The material presented in this book will adequately prepare the reader for graduate-level study in mathematical finance.

  • Sales Rank: #1413173 in Books
  • Brand: Brand: World Scientific Publishing Company
  • Published on: 2012-09-07
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.10" h x 1.20" w x 6.10" l, 1.80 pounds
  • Binding: Hardcover
  • 484 pages
Features
  • Used Book in Good Condition

Review
"This book provides an ideal introduction to basic topics in financial mathematics not only for undergraduates studying mathematical related subjects, but also graduates in finance. It strikes an excellent balance between exposition and mathematical technicality. The author has produced a first-rate textbook that will become a classic read." --John G O'Hara, University of Essex, UK

"This text now covers adequately most material needed to be covered in an undergraduate course in financial mathematics. The level of material is easy to follow, understand and work out which makes it suitable for classroom adoption. Overall, it is a good introduction to financial mathematics at the undergraduate level providing enough useful information which encourages one to think." --Professor Man M Chawla, Fellow of Indian National Science Academy, and former Professor of Mathematics, Indian Institute of Technology, New Delhi

From the Inside Flap
This textbook provides an introduction to financial mathematics and financial engineering for undergraduate students who have completed a three- or four-semester sequence of calculus courses. It introduces the theory of interest, discrete and continuous random variables and probability, stochastic processes, linear programming, the Fundamental Theorem of Finance, option pricing, hedging, and portfolio optimization. This third edition expands on the second by including a new chapter on the extensions of the Black-Scholes model of option pricing and a greater number of exercises at the end of each chapter. More background material has been added to the other chapters, allowing the textbook to better stand alone as an introduction to financial mathematics. The reader progresses from a solid grounding in multivariable calculus through a derivation of the Black-Scholes equation, its solution, properties, and applications. The text attempts to be as self-contained as possible without relying on advanced mathematical and statistical topics. The material presented in this book will adequately prepare the reader for graduate-level study in mathematical finance.

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