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Beschreibung
The book is primarily aimed at market practitioners (traders, risk managers, risk control, top managers), as well as Masters students in Quantitative/Mathematical Finance. It will also be useful for instructors hoping to enrich their courses with practical examples. The prerequisites are basic stochastic calculus and a general knowledge of financial markets and financial derivatives.
Details
| Verlag | Springer International Publishing |
| Ersterscheinung | 17. September 2020 |
| Maße | 23.5 cm x 15.5 cm |
| Gewicht | 131 Gramm |
| Format | Softcover |
| ISBN-13 | 9783030574956 |
| Auflage | 1st ed. 2020 |
| Seiten | 61 |