Interest-Rate Management
This book combines a rigorous overview of the mathematics of financial markets with an insight into the practical application of these models to the risk and portfolio management of interest-rate derivatives. It can also serve as a valuable textbook on financial markets for graduate and PhD students in mathematics. Interesting and comprehensive case studies illustrate the theoretical concepts.
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Produktdetails
- ISBN: 978-3-662-12106-1
- EAN: 9783662121061
- Produktnummer: 37268557
- Verlag: Springer Berlin Heidelberg
- Sprache: Englisch
- Erscheinungsjahr: 2013
- Seitenangabe: 341 S.
- Plattform: PDF
- Auflage: 2002
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