Finanza Matematica: Teoria e Problemi per Modelli Multiperiodali (UNITEXT)

Finanza Matematica: Teoria e Problemi per Modelli Multiperiodali (UNITEXT)

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2009 · 이탈리아어 · 페이퍼백
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설명

In the evolving landscape of financial mathematics, this work delves into the intricate theories and problem-solving techniques that are pivotal for understanding multiperiod models. The authors, Andrea Pascucci and Wolfgang J. Runggaldier, meticulously explore the fundamental principles that govern financial decision-making across multiple time frames, making complex concepts accessible to readers.

Through a combination of theoretical insights and practical problems, the text encourages critical thinking and application of mathematical principles to real-world financial scenarios. The use of rich examples and detailed explanations serves to bridge the gap between theory and practice, allowing readers to develop a comprehensive understanding of the intricacies involved in financial modeling.

Designed for those seeking to deepen their knowledge in this field, the book not only covers the essential mathematical theories but also engages with contemporary challenges and innovations in finance. This structured approach provides a solid foundation for both students and professionals aiming to navigate the sophisticated world of financial mathematics with confidence.

책 세부 정보

형식 페이퍼백
페이지 278 페이지
언어 이탈리아어
출판됨 Oct 2, 2009
출판사 Springer
ISBN-10 8847014417
ISBN-13 9788847014411
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