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Introduction to the Mathematics of Finance: Graduate Studies in Mathematics, cartea 72;

Autor R. J. Williams
en Limba Engleză Hardback – iun 2006
The modern subject of mathematical finance has undergone considerable development, both in theory and practice, since the seminal work of Black and Scholes appeared a third of a century ago. This book is intended as an introduction to some elements of the theory that will enable students and researchers to go on to read more advanced texts and research papers. The book begins with the development of the basic ideas of hedging and pricing of European and American derivatives in thediscrete (i.e., discrete time and discrete state) setting of binomial tree models. Then a general discrete finite market model is introduced, and the fundamental theorems of asset pricing are proved in this setting. Tools from probability such as conditional expectation, filtration, (super)martingale,equivalent martingale measure, and martingale representation are all used first in this simple discrete framework. This provides a bridge to the continuous (time and state) setting, which requires the additional concepts of Brownian motion and stochastic calculus. The simplest model in the continuous setting is the famous Black-Scholes model, for which pricing and hedging of European and American derivatives are developed. The book concludes with a description of the fundamental theorems for acontinuous market model that generalizes the simple Black-Scholes model in several direct
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Specificații

ISBN-13: 9780821839034
ISBN-10: 0821839039
Pagini: 150
Dimensiuni: 183 x 262 x 14 mm
Greutate: 0.45 kg
Editura: American Mathematical Society
Colecția American Mathematical Society
Seria Graduate Studies in Mathematics

Locul publicării:Oxford, United States