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Theoretical foundations for quantitative finance

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This book provides simple introduction to quantitative finance for students and junior quants who want to approach the typical industry problems with practical but rigorous ambition.

It shows a simple link between theoretical technicalities and practical solutions.

Mathematical aspects are discussed from a practitioner perspective, with a deep focus on practical implications, favoring the intuition and the imagination.

In addition, the new post-crisis paradigms, like multi-curves, x-value adjustments (xVA) and Counterparty Credit Risk are also discussed in a very simple framework.

Finally, real world data and numerical simulations are compared in order to provide a reader with a simple and handy insight on the actual model performances.

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Product Details
9813202475 / 9789813202474
Hardback
14/06/2017
Singapore
English
280 pages
Professional & Vocational/Tertiary Education (US: College) Learn More