Quantitative finance and risk management: a physicist's approach




Quantitative finance and risk management: a physicist's approach
~
Dash J.W.




Review
… brings a wealth of practical information on how work is done in real world financial markets. -- Mathematical Reviews


Product Description
Written by a physicist with over 15 years of experience as a quant on Wall Street, this book treats a wide variety of topics. Presenting the theory and practice of quantitative finance and risk, it delves into the "how to" and "what it's like" aspects not covered in textbooks or research papers. Both standard and new results are presented. A "Technical Index" indicates the mathematical level — from zero to PhD — for each chapter. The finance in each chapter is self-contained. Real-life comments on "life as a quant" are included.

This book is designed for scientists and engineers desiring to learn quantitative finance, and for quantitative analysts and finance graduate students. Parts will be of interest to research academics.
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Product Details

* Hardcover: 800 pages
* Publisher: World Scientific Publishing Company (September 1, 2004)
* Language: English
* ISBN-10: 9812387129
* ISBN-13: 978-9812387127

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