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Mathematical Asset Management

Posted By: AvaxGenius
Mathematical Asset Management

Mathematical Asset Management by Thomas Höglund
English | PDF | 2007 | 229 Pages | ISBN : 0470232870 | 7.2 MB

A practical approach to the mathematical tools needed to increase portfolio growth, learn successful trading strategies, and manage the risks associated with market fluctuation Mathematical Asset Management presents an accessible and practical introduction to financial derivatives and portfolio selection while also acting as a basis for further study in mathematical finance.

Quantitative Methods for Economics and Finance

Posted By: AvaxGenius
Quantitative Methods for Economics and Finance

Quantitative Methods for Economics and Finance by J.E. Trinidad-Segovia
English | PDF | 2020 | 420 Pages | ISBN : 3036501967 | 17.3 MB

This book is a collection of papers for the Special Issue "Quantitative Methods for Economics and Finance" of the journal Mathematics. This Special Issue reflects on the latest developments in different fields of economics and finance where mathematics plays a significant role. The book gathers 19 papers on topics such as volatility clusters and volatility dynamic, forecasting, stocks, indexes, cryptocurrencies and commodities, trade agreements, the relationship between volume and price, trading strategies, efficiency, regression, utility models, fraud prediction, or intertemporal choice.