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Mathematical Financial Economics: A Basic Introduction by Thorsten Hens (English

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Item specifics

Condition
New: A new, unread, unused book in perfect condition with no missing or damaged pages. See the ...
ISBN-13
9783319362496
Type
NA
Publication Name
NA
ISBN
9783319362496
Publication Year
2016
Format
Trade Paperback
Language
English
Book Title
Mathematical Financial Economics : a Basic Introduction
Author
Igor Evstigneev, Thorsten Hens, Klaus Reiner Schenk-Hoppe
Item Length
9.3in
Publisher
Springer International Publishing A&G
Genre
Business & Economics, Mathematics
Topic
Finance / General, Economics / Macroeconomics, Economics / General, Applied, Business Mathematics
Item Width
6.1in
Item Weight
128.2 Oz
Number of Pages
IX, 224 Pages

About this product

Product Information

This textbook is an elementary introduction to the key topics in mathematical finance and financial economics - two realms of ideas that substantially overlap but are often treated separately from each other. Our goal is to present the highlights in the field, with the emphasis on the financial and economic content of the models, concepts and results. The book provides a novel, unified treatment of the subject by deriving each topic from common fundamental principles and showing the interrelations between the key themes. Although the presentation is fully rigorous, with some rare and clearly marked exceptions, the book restricts itself to the use of only elementary mathematical concepts and techniques. No advanced mathematics (such as stochastic calculus) is used.

Product Identifiers

Publisher
Springer International Publishing A&G
ISBN-10
3319362496
ISBN-13
9783319362496
eBay Product ID (ePID)
240584538

Product Key Features

Book Title
Mathematical Financial Economics : a Basic Introduction
Author
Igor Evstigneev, Thorsten Hens, Klaus Reiner Schenk-Hoppe
Format
Trade Paperback
Language
English
Topic
Finance / General, Economics / Macroeconomics, Economics / General, Applied, Business Mathematics
Publication Year
2016
Genre
Business & Economics, Mathematics
Number of Pages
IX, 224 Pages

Dimensions

Item Length
9.3in
Item Width
6.1in
Item Weight
128.2 Oz

Additional Product Features

Number of Volumes
1 Vol.
Lc Classification Number
Hb172.5
Reviews
"Mathematical Financial Economics (A Basic Introduction) is indeed a work accessible to the general public and can give a great contribution to the dissemination of knowledge in these areas, so important in modern everyday life. Indispensable either to professionals or to curious people, whether practical or academics, whether graduate or post-graduate students. In short: a true knowledge transfer book." (Manuel Alberto M. Ferreira, Acta Scientiae et Intellectus, Vol. 2 (6), 2016)
Table of Content
Mean-Variance Portfolio Analysis: Portfolio Selection: Introductory Comments.- Mean-Variance Portfolio Analysis: The Markowitz Model.- Solution to the Markowitz Optimization Problem.- Properties of Efficient Portfolios.- The Markowitz Model with a Risk-Free Asset.- Efficient Portfolios in a Market with a Risk-Free Asset.- Capital Asset Pricing Model (CAPM).- CAPM Continued.- Factor Models and the Ross-Huberman APT.- Problems and Exercises I.- Derivative Securities Pricing: Dynamic Securities Market Model.- Risk-Neutral Pricing.- The Cox-Ross-Rubinstein Binomial Model.- American Derivative Securities.- From Binomial Model to Black-Scholes Formula.- Problems and Exercises II.- Growth and Equilibrium: Capital Growth Theory: Continued.- General Equilibrium Analysis of Financial Markets.- Behavioral Equilibrium and Evolutionary Dynamics.- Problems and Exercises III.- Mathematical Appendices: Facts from Linear Algebra.- Convexity and Optimization.- Sources.
Copyright Date
2015
Dewey Decimal
330.0151
Series
Springer Texts in Business and Economics Ser.
Dewey Edition
23
Illustrated
Yes

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Premier Books LLC
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