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Mathematical Asset Management



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Mathematical Asset Management by Thomas Hoglund
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This book presents an accessible and practical introduction to financial derivatives and portfolio selection. Assuming a fundamental background in calculus, real analysis, and linear algebra, the book uses mathematical tools only as needed and provides comprehensive, yet concise, coverage of various topics, such as: interest rates and the connection between present value and arbitrage; financial instruments beyond bonds that serve as building blocks for portfolios; trading strategies and risk performance measures; and stochastic properties of stock prices.

Author Biography

Thomas Hoeglund, PhD, is Lecturer in the Department of Mathematics at Stockholm University in Sweden, where he participated in the creation of a program in mathematics and economics. A former head mathematician for the Swedish Intelligence Service, Dr. Hoeglund conducts research in mathematical statistics and probability theory.
Release date NZ
April 7th, 2008
Country of Publication
United States
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