shop by

Mathematical Asset Management (Hardcover)

Author: Hoglund, Thomas

Customer Reviews   Write a Review

Be the first to review this item and earn 25 Rakuten Super Points™

Product Overview

This book presents an accessible and practical introduction to financial derivatives and portfolio selection. Assuming a fundamental background in calculus, real analysis, and linear algebra, the book uses mathematical tools only as needed and provides comprehensive, yet concise, coverage of various topics, such as: interest rates and the connection between present value and arbitrage; financial instruments beyond bonds that serve as building blocks for portfolios; trading strategies and risk performance measures; and stochastic properties of stock prices.


Publisher Wiley-Interscience
Mfg Part# 9780470232873
SKU 207913394
Format Hardcover
ISBN10 0470232870
Release Date 4/7/2008
Product Attributes
Book Format Hardcover
Number of Pages 0222
Publisher Wiley-Interscience
Sold Out
Sorry, you missed the deal!
This product is currently not available.
Promotions & Offers (1)
  •  custom promo
    5% Back* Sitewide with Promo Code Rewardme *See page for details