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Mathematical Finance by Mark H. A.  Davis; 9780198787945

Mathematical Finance

By Mark H. A. Davis

88,00 kr
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Description

Delve into the intricate world of finance through the lens of mathematics with Mathematical Finance by Mark H. A. Davis. This insightful text explores the fundamental principles and complex theories that underpin modern financial practices, making it an invaluable resource for both students and professionals alike.

The Story

At its core, Mathematical Finance bridges the gap between theoretical mathematics and practical financial applications. Davis meticulously examines key concepts such as stochastic calculus, option pricing, and risk management, presenting them in a clear and accessible manner. The book is structured to guide readers through various mathematical tools and models that are essential for understanding financial markets.

Why Readers Love It

  • Clarity and Precision: Davis’s writing style is marked by clarity, ensuring that even complex topics are presented in an understandable way.
  • Real-World Applications: The text includes numerous examples and case studies that illustrate how mathematical finance theories are applied in real-world scenarios.
  • Comprehensive Coverage: It offers a thorough exploration of both foundational and advanced topics, appealing to a broad audience.

Perfect For

This book is ideal for undergraduate and postgraduate students in finance and applied mathematics, as well as professionals seeking to deepen their understanding of mathematical tools in finance. Those who appreciated Davis’s previous works, such as Stochastic Calculus for Finance II: Continuous-Time Models, will find this book equally enlightening.

"A vital contribution to the field that combines rigorous mathematics with practical finance." - Financial Journal

Specifications

Format: Paperback / softback
Dimensions: 113 mm × 170 mm × 9 mm
Pages: 160
Publisher: Oxford University Press
ISBN: 9780198787945

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