Analytical Finance: Volume I

The Mathematics of Equity Derivatives, Markets, Risk and Valuation

Éditeur :

Palgrave Macmillan

Paru le : 2017-02-07

This book provides an introduction to the valuation of financial instruments on equity markets. Written from the perspective of trading, risk management and quantitative research functions and written by a practitioner with many years’ experience in markets and in academia, it provides a valuable le...
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À propos



Collection
n.c

Parution
2017-02-07

Pages
492 pages

EAN papier
9783319340265

Auteur(s) du livre


Jan Röman is Senior Lecturer, Mälardaran University, where he teaches analytical finance and financial engineering. He is also a financial engineer in the Quantitative Risk Modelling Group at Swedbank Robur Funds, where he specializes in risk model validation, focusing on all inputs to front office systems including interest rates and volatility structures. Jan has over 16 years financial markets experience mostly in financial modeling and valuation in derivatives environments.  He has held positions as Head of Market and Credit Risk, Swedbank Markets, Senior Risk Analyst at the Swedish financial Supervisory Authority, Senior Developer at SunGard and Senior Developer, OMX Stockholm Exchange. He holds a License degree in Theoretical Physics from Chalmers University of Technology and has received a scholarship of the Nordic Minister Council to research at NORDITA, the Nordic Institute for Theoretical Physics.   

Caractéristiques détaillées - droits

EAN PDF
9783319340272
Prix
79,11 €
Nombre pages copiables
4
Nombre pages imprimables
49
Taille du fichier
11991 Ko
EAN EPUB
9783319340272
Prix
79,11 €
Nombre pages copiables
4
Nombre pages imprimables
49
Taille du fichier
7096 Ko

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