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Financial Mathematics: Introduction to Financial Modelling

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  • 124 Seiten
  • 5 Lesestunden

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Aimed at undergraduate and master's students in Mathematics, Economics, and Finance, this manuscript serves as an introductory guide to financial mathematics. It covers essential topics such as interest rate theory, partial differential equations, probability theory, stochastic processes, and actuarial science. By presenting these concepts in an accessible manner, it helps students navigate complex mathematical theories that are crucial for modeling various financial and economic phenomena, making it a valuable resource for those new to the subject.

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Financial Mathematics: Introduction to Financial Modelling, Hamza Abubakar

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Erscheinungsdatum
2018
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(Paperback)
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