Non-Fiction Books:

Foundations of Quantitative Finance: Book III. The Integrals of Riemann, Lebesgue and (Riemann-)Stieltjes

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Description

Every financial professional wants and needs an advantage. A firm foundation in advanced mathematics can translate into dramatic advantages to professionals willing to obtain it. Many are not—and that is the advantage these books offer the astute reader. Published under the collective title of Foundations of Quantitative Finance, this set of ten books presents the advanced mathematics finance professionals need to advance their careers. These books develop the theory most do not learn in Graduate Finance programs, or in most Financial Mathematics undergraduate and graduate courses. As an investment executive and authoritative instructor, Robert R. Reitano presents the mathematical theories he encountered and used in nearly three decades in the financial industry and two decades in education where he taught in highly respected graduate programs. Readers should be quantitatively literate and familiar with the developments in the first book in the set. While the set offers a continuous progression through these topics, each title can also be studied independently. Features Extensively referenced to utilize materials from earlier books Presents the theory needed to support advanced applications Supplements previous training in mathematics, with more detailed developments Built from the author's five decades of experience in industry, research, and teaching Published and forthcoming titles in the Robert R. Reitano Quantitative Finance Series: Book I: Measure Spaces and Measurable Functions Book II: Probability Spaces and Random Variables Book III: The Integrals of Lebesgue and (Riemann-)Stieltjes Book IV: Distribution Functions and Expectations Book V: General Measure and Integration Theory Book VI: Densities, Transformed Distributions, and Limit Theorems Book VII: Brownian Motion and Other Stochastic Processes Book VIII: Itô Integration and Stochastic Calculus 1 Book IX: Stochastic Calculus 2 and Stochastic Differential Equations Book X: Classical Models and Applications in Finance

Author Biography:

Robert R. Reitano is Professor of the Practice of Finance at the Brandeis International Business School where he specializes in risk management and quantitative finance. He previously served as MSF Program Director, and Senior Academic Director. He has a Ph.D. in Mathematics from MIT, is a Fellow of the Society of Actuaries, and a Chartered Enterprise Risk Analyst. Dr. Reitano consults in investment strategy and asset/liability risk management, and previously had a 29-year career at John Hancock/Manulife in investment strategy and asset/liability management, advancing to Executive Vice President & Chief Investment Strategist. His research papers have appeared in a number of journals and have won an Annual Prize of the Society of Actuaries and two F.M. Redington Prizes of the Investment Section of the Society of the Actuaries. Dr. Reitano serves on various not-for-profit boards and investment committees.
Release date NZ
May 23rd, 2023
Audiences
  • Professional & Vocational
  • Tertiary Education (US: College)
Pages
197
ISBN-13
9781032206547
Product ID
36123763

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