Introduction to Financial Mathematics Concepts and Computational Methods
Dublin Core
Title
Introduction to Financial Mathematics Concepts and Computational Methods
Subject
Financial Mathematics Concepts, Computational Methods
Description
Introduction to Financial Mathematics: Concepts and Computational Methods serves as a primer in financial mathematics with a focus on conceptual understanding of models and problem solving. It includes the mathematical background needed for risk management, such as probability theory, optimization, and the like. The goal of the book is to expose the reader to a wide range of basic problems, some of which emphasize analytic ability, some requiring programming techniques and others focusing on statistical data analysis. In addition, it covers some areas which are outside the scope of mainstream financial mathematics textbooks. For example, it presents marginal account setting by the CCP and systemic risk, and a brief overview of the model risk. Inline exercises and examples are included to help students prepare for exams on this book.
Creator
Arash Fahim,
Source
http://fsu.digital.flvc.org/islandora/object/fsu%3A684422
Publisher
Florida State University
Date
2019
Contributor
Baihaqi
Rights
Creative Commons
Format
PDF
Language
English
Type
Textbooks
Files
Collection
Citation
Arash Fahim,, “Introduction to Financial Mathematics Concepts and Computational Methods,” Open Educational Resource (OER) - USK Library, accessed October 11, 2024, http://uilis.usk.ac.id/oer/items/show/2857.