Introduction to Stochastic Finance / Universitext (PDF)
(Sprache: Englisch)
This book gives a systematic introduction to the basic theory of financial mathematics, with an emphasis on applications of martingale methods in pricing and hedging of contingent claims, interest rate term structure models, and expected utility...
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This book gives a systematic introduction to the basic theory of financial mathematics, with an emphasis on applications of martingale methods in pricing and hedging of contingent claims, interest rate term structure models, and expected utility maximization problems. The general theory of static risk measures, basic concepts and results on markets of semimartingale model, and a numeraire-free and original probability based framework for financial markets are also included. The basic theory of probability and Ito's theory of stochastic analysis, as preliminary knowledge, are presented.
Autoren-Porträt von Jia-An Yan
Professor Jia-An Yan is a Professor of Institute of Applied Mathematics, Academy of Mathematics and System Sciences, Chinese Academy of Sciences. He is a Member of the Chinese Academy of Sciences and he has served as Editor-in-Chief of Acta Mathematicae Applicatae Sinica and members of several editorial boards. His main research area is stochastic analysis and mathematical finance.
Bibliographische Angaben
- Autor: Jia-An Yan
- 2018, 1st ed. 2018, 403 Seiten, Englisch
- Verlag: Springer-Verlag GmbH
- ISBN-10: 9811316570
- ISBN-13: 9789811316579
- Erscheinungsdatum: 10.10.2018
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eBook Informationen
- Dateiformat: PDF
- Grösse: 3.88 MB
- Ohne Kopierschutz
- Vorlesefunktion
Sprache:
Englisch
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