£54.32

Wiley Mathematics of the Financial Markets - Derivatives Book

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£54.32 £52.86 £53.18 £53.50 £53.81 £54.13 £54.45 19 March 2026 31 March 2026 13 April 2026 25 April 2026 08 May 2026

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Description

Master the mathematical foundations of modern finance with Mathematics of the Financial Markets. Part of the Wiley Finance Series, this book provides a deep look into financial instruments and derivatives modeling, valuation, and risk management. Financial markets rely on a vast collection of securities that require precise mathematical models for valuation and risk profiling. This text helps readers understand these essential models, which are fundamental for anyone working in modern portfolio or risk management roles. As noted by Marco Dion, Global Head of Equity Quant Strategy at J.P. Morgan, author Alain Ruttiens has a unique ability to turn complex theories into easy to understand notions. This makes the book an ideal resource for professionals looking to strengthen their quantitative skills and for those starting a career in the financial industry.

Key Features

Covers essential mathematical models used for the valuation and risk profiling of various financial securities.

Provides a clear guide to derivatives modeling and the management of financial risk issues.

Simplifies complex financial theories into easy to understand concepts for better comprehension.

Serves as a foundational resource for modern portfolio managers and risk management professionals.

Part of the professional Wiley Finance Series for high-level financial education.

Product Specifications

Brand
Wiley
Format
hardcover
Domain
Amazon UK
Release Date
22 March 2013
Listed Since
25 July 2012

Barcode

No barcode data available

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