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Paul Wilmott On Quantitative Finance 2E +Cd 3 Volume Set (ISBN=9780470018705)书籍详细信息

  • ISBN:9780470018705
  • 作者:暂无作者
  • 出版社:暂无出版社
  • 出版时间:2006-03
  • 页数:1500
  • 价格:2013.70
  • 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
  • 豆瓣评分:暂无豆瓣评分
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  • 读书笔记:点击查看
  • 原文摘录:点击查看

内容简介:

  Paul Wilmott on Quantitative Finance, Second Edition provides

a thoroughly updated look at derivatives and financial engineering,

published in three volumes with additional CD-ROM.

Volume 1: Mathematical and Financial Foundations; Basic Theory of

Derivatives; Risk and Return.

The reader is introduced to the fundamental mathematical tools

and financial concepts needed to understand quantitative finance,

portfolio management and derivatives. Parallels are drawn between

the respectable world of investing and the not-so-respectable world

of gambling.

Volume 2: Exotic Contracts and Path Dependency; Fixed Income

Modeling and Derivatives; Credit Risk

In this volume the reader sees further applications of stochastic

mathematics to new financial problems and different markets.

Volume 3: Advanced Topics; Numerical Methods and Programs.

In this volume the reader enters territory rarely seen in

textbooks, the cutting-edge research. Numerical methods are also

introduced so that the models can now all be accurately and quickly

solved.

Throughout the volumes, the author has included numerous

Bloomberg screen dumps to illustrate in real terms the points he

raises, together with essential Visual Basic code, spreadsheet

explanations of the models, the reproduction of term sheets and

option classification tables. In addition to the practical

orientation of the book the author himself also appears throughout

the book—in cartoon form, readers will be relieved to hear—to

personally highlight and explain the key sections and issues

discussed.

Note: CD-ROM/DVD and other supplementary materials are not

included as part of eBook file.


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其它内容:

媒体评论

  "...a very good first textbook on quantitative finance,

especially, not only, for mathematics who need introducing into

finance". Zentralblatt MATT May 2008"...a very good first textbook

on quantitative finance, especially, not only, for mathematics who

need introducing into finance".Zentralblatt MATT May 2008


书籍介绍

Paul Wilmott on Quantitative Finance, Second Edition provides a thoroughly updated look at derivatives and financial engineering, published in three volumes with additional CD-ROM. Volume 1: Mathematical and Financial Foundations; Basic Theory of Derivatives; Risk and Return.

The reader is introduced to the fundamental mathematical tools and financial concepts needed to understand quantitative finance, portfolio management and derivatives. Parallels are drawn between the respectable world of investing and the not-so-respectable world of gambling. Volume 2: Exotic Contracts and Path Dependency; Fixed Income Modeling and Derivatives; Credit Risk

In this volume the reader sees further applications of stochastic mathematics to new financial problems and different markets. Volume 3: Advanced Topics; Numerical Methods and Programs.

In this volume the reader enters territory rarely seen in textbooks, the cutting-edge research. Numerical methods are also introduced so that the models can now all be accurately and quickly solved. Throughout the volumes, the author has included numerous Bloomberg screen dumps to illustrate in real terms the points he raises, together with essential Visual Basic code, spreadsheet explanations of the models, the reproduction of term sheets and option classification tables. In addition to the practical orientation of the book the author himself also appears throughout the book—in cartoon form, readers will be relieved to hear—to personally highlight and explain the key sections and issues discussed. Note: CD-ROM/DVD and other supplementary materials are not included as part of eBook file.


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