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Student Solutions Manual to Accompany Introduction to Quantitative Finance: A Math Tool Kit

Part of the The MIT Press series
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Robert Reitano's Introduction to Quantitative Finance offers an accessible yet rigorous development of many of the fields of mathematics necessary for success in investment and quantitative finance, covering topics applicable to portfolio theory, investment banking, option pricing, investment, and insurance risk management.

The approach emphasizes the mathematical framework provided by each mathematical discipline, and the application of each framework to the solution of finance problems.

This manual provides solutions to the Practice Exercises in the text.

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Product Details
MIT Press
0262514346 / 9780262514347
Paperback / softback
05/02/2010
United States
176 pages
178 x 229 mm, 295 grams
Tertiary Education (US: College) Learn More