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Mathematics of the financial markets...
~
Ruttiens, Alain
Mathematics of the financial markets :financial instruments and derivatives modelling, valuation and risk issues /
Record Type:
Language materials, printed : Monograph/item
[NT 15000414]:
650.01513
Title/Author:
Mathematics of the financial markets : : financial instruments and derivatives modelling, valuation and risk issues // Alain Ruttiens.
Author:
Ruttiens, Alain
Published:
Hoboken, N.J. : : Wiley ;, 2013.
Description:
xvi, 333 p. : : ill. ;; 25 cm.
Subject:
Finance.
Subject:
Business mathematics.
ISBN:
9781118513453 (hbk.) :
ISBN:
1118513452 (hbk.)
ISBN:
9781118513477 (ebk.)
ISBN:
1118513479 (ebk.)
ISBN:
9781118513484 (ebk.)
ISBN:
1118513487 (ebk.)
ISBN:
9781118513491 (ebk.)
ISBN:
1118513495 (ebk.)
[NT 15000227]:
Includes bibliographical references and index.
[NT 15000229]:
This title aims to prioritise what needs mastering and presents the content in the most understandable, concise and pedagogical way illustrated by real market examples. Given the variety and the complexity of the materials the book covers, the author sorts through a vast array of topics in a subjective way, relying upon more than 20 years of experience as a market practitioner. The book only requires the reader to be knowledgeable in the basics of algebra and statistics.
Mathematics of the financial markets :financial instruments and derivatives modelling, valuation and risk issues /
Ruttiens, Alain
Mathematics of the financial markets :
financial instruments and derivatives modelling, valuation and risk issues /Alain Ruttiens. - Hoboken, N.J. :Wiley ;2013. - xvi, 333 p. :ill. ;25 cm. - Wiley finance series. - Wiley finance series..
Includes bibliographical references and index.
This title aims to prioritise what needs mastering and presents the content in the most understandable, concise and pedagogical way illustrated by real market examples. Given the variety and the complexity of the materials the book covers, the author sorts through a vast array of topics in a subjective way, relying upon more than 20 years of experience as a market practitioner. The book only requires the reader to be knowledgeable in the basics of algebra and statistics.
ISBN: 9781118513453 (hbk.) :NTD 2,898Subjects--Topical Terms:
189642
Finance.
LC Class. No.: HG106 / .R88 2013
Dewey Class. No.: 650.01513
Mathematics of the financial markets :financial instruments and derivatives modelling, valuation and risk issues /
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financial instruments and derivatives modelling, valuation and risk issues /
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Wiley finance series
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Includes bibliographical references and index.
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This title aims to prioritise what needs mastering and presents the content in the most understandable, concise and pedagogical way illustrated by real market examples. Given the variety and the complexity of the materials the book covers, the author sorts through a vast array of topics in a subjective way, relying upon more than 20 years of experience as a market practitioner. The book only requires the reader to be knowledgeable in the basics of algebra and statistics.
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Wiley finance series.
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337882
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四樓西文圖書區
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650.01513 R982
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