This book introduces several design patterns using finance as an example. The book is pretty thin for a $50 book, …
Numerical Optimization presents a comprehensive and up-to-date description of the most effective methods in continuous optimization. It responds to the …
The market in listed options and non-equity option products provides investors and traders with a wealth of new, strategic opportunities …
This book assumes that you have familiarity with the stock market but didn't trade options, so it carefully describes what …
Exotic options and structured products are two of the most popular financial products over the past ten years and will …
This book provides the tools to measure the risks and benefits of this new generation of high-tech products. For financial …
This new European edition of the best-selling US text offers clear and practical coverage of financial markets and corporate strategy, …
Summarizing market data developments, some inspired by statistical physics, this book explains how to better predict the actual behavior of …
Отличная книга по оценке,хеджингу и риск-менеджменту деривативов,начиная от plain vanilla и заканчивая weather and insurance derivatives. Must have как для …
For undergraduate and graduate courses in Options and Futures, Financial Engineering and Risk Management, typically found in business, finance, economics …
This is a great book. There is only one problem, this book was misprinted. Some pages are almost impossible to …
As in the sixth edition, end-of-chapter problems are divided into two groups: ''Questions and Problems'' and ''Assignment Questions''. Solutions to …
An Arbitrage Guide to Financial Markets is the first book to explicitly show the linkages of markets for equities, currencies, …
Accounting for Derivatives: Advanced Hedging under IFRS is a comprehensive practical guide to hedge accounting. This book is neither written …
The derivative practitioner s expert guide to IFRS 9 application Accounting for Derivatives explains the likely accounting implications of a …
Got this book to prepare for my interview. It is a nice book that covers all the topics. It's not …
John C. Hull’s Financial Risk Management text is the only text to take risk management theory and explain it in …
The most complete, up to date guide to risk management in finance Risk Management and Financial Institutions explains all aspects …
A concise introduction to financial risk management strategies, policies, and techniques. This ideal guide for business professionals focuses on strategic …
Outlines theory and techniques of calculus, emphasizing strong understanding of concepts, and the basic principles of analysis. Reviews elementary and …
Success in your calculus course starts here! James Stewart's CALCULUS: EARLY TRANSCENDENTALS texts are world-wide best-sellers for a reason: they …
Taking a fresh approach while retaining classic presentation, the Tan Calculus series utilizes a clear, concise writing style, and uses …
Very Short Introductions: Brilliant, sharp, inspiringThe 17th-century calculus of Newton and Leibniz was built on shaky foundations, and it wasn't …
An invaluable resource for quantitative analysts who need to run models that assist in option pricing and risk management. This …
"This book develops the use of Monte Carlo methods in finance, and it also uses simulation as a vehicle for …