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Product Description
Introduction to the Economics and Mathematics of Financial Markets (9780262033206): Jaksa Cvitanic, Fernando Zapatero: Books. This book provides a very clear and readable approach to the structure, background, and theory of modern financial markets. It can easily be used as a text for a graduate course in quantitative finance and as a reference by practitioners. Unlike more mathematical treatments, however, most of its content should also be accessible to good MBA students.--Robert J. Elliott, RBC Financial Group Professor of Finance, University of CalgaryThis book is the first of its kind—an accessible but rigorous treatment of classic dynamic asset-pricing models, appropriate for master's-level or introductory doctoral courses, and suitable for students from various fields, including economics, finance, or applied mathematics. An excellent contribution. Darrell Duffie, Graduate School of Business, Stanford UniversityThis book is the first of its kind -- an accessible but rigorous treatment of classic dynamic asset-pricing models, appropriate for master's-level or introductory doctoral courses, and suitable for students from various fields, including economics, finance, or applied mathematics. An excellent contribution.--Darrell Duffie, Graduate School of Business, Stanford University
Shipping Weight: 2 pounds
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