Business & Economics Books:

Mathematical Asset Management

Format

Hardback

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Mathematical Asset Management by Thomas Hoglund
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Description

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
Imprint
Wiley-Blackwell
Pages
232
Dimensions
159x241x17
ISBN-13
9780470232873
Product ID
3090318

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