£160.35

Wiley Paul Wilmott on Quantitative Finance 2nd Edition

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Description

Master the complexities of derivatives and financial engineering with the second edition of Paul Wilmott on Quantitative Finance. Published by Wiley, this comprehensive set offers a thoroughly updated look at the mathematical and financial foundations required for modern finance. Volume 1 focuses on the essential mathematical tools and financial concepts needed for portfolio management and derivatives. It provides a clear introduction to risk and return, even drawing parallels between professional investing and the world of gambling to aid understanding. Volume 2 covers exotic contracts and path dependency. This three-volume collection includes an additional CD-ROM to support your learning. Whether you are a student in higher education or a professional in the field, this text provides the foundational theory and practical insights necessary to navigate the world of quantitative finance. Each volume is designed to build your knowledge from basic theory to advanced financial engineering concepts.

Key Features

Comprehensive three-volume set covering mathematical and financial foundations, risk and return, and exotic contracts.

Includes an additional CD-ROM to enhance your study of derivatives and financial engineering.

Thoroughly updated second edition providing modern perspectives on quantitative finance and portfolio management.

New and mint condition books ensuring high quality for your academic or professional library.

Fast shipping with same day dispatch for orders received before 12 noon.

Guaranteed secure packaging to protect your books during transit.

No quibbles returns policy for a worry-free purchasing experience.

Product Specifications

Brand
Wiley
Format
hardcover
Domain
Amazon UK
Release Date
20 January 2006
Listed Since
22 December 2006

Barcode

No barcode data available

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