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Mathematics - Quantitative Finance | Financial Mathematics - Theory and Problems for Multi-period Models (Reviews)

Financial Mathematics

Theory and Problems for Multi-period Models


Subseries: La Matematica per il 3+2

Pascucci, Andrea, Runggaldier, Wolfgang J.

2012, IX, 294 p.

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From the reviews:

“The authors present a textbook for a course in financial mathematics at the bachelor level. … It presents a plethora of highly instructive problems/exercises and their solutions, enabling the reader to acquire a confident practical working knowledge of the material. These advantages make the book exceptionally valuable for students; moreover, since the setup of the book is the one used in industry applications of mathematical finance, it can be a very useful read for practitioners interested in the theoretical aspects of the applied methods.” (Tamás Mátrai, Zentralblatt MATH, Vol. 1247, 2012)



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