Free Shipping Threshold: Only $50!
Menu
Quantitative Finance Guide: Essential Tools & Techniques for Financial Analytics - Master Risk Management, Algorithmic Trading & Investment Strategies for Professionals
$106.7
$194
Safe 45%
Quantitative Finance Guide: Essential Tools & Techniques for Financial Analytics - Master Risk Management, Algorithmic Trading & Investment Strategies for Professionals Quantitative Finance Guide: Essential Tools & Techniques for Financial Analytics - Master Risk Management, Algorithmic Trading & Investment Strategies for Professionals
Quantitative Finance Guide: Essential Tools & Techniques for Financial Analytics - Master Risk Management, Algorithmic Trading & Investment Strategies for Professionals
Quantitative Finance Guide: Essential Tools & Techniques for Financial Analytics - Master Risk Management, Algorithmic Trading & Investment Strategies for Professionals
Quantitative Finance Guide: Essential Tools & Techniques for Financial Analytics - Master Risk Management, Algorithmic Trading & Investment Strategies for Professionals
$106.7
$194
45% Off
Quantity:
Delivery & Return: Free shipping on all orders over $50
Estimated Delivery: 10-15 days international
9 people viewing this product right now!
SKU: 14330327
Guranteed safe checkout
amex
paypal
discover
mastercard
visa
apple pay
shop
Description
Are you applying quantitative methods without a full understanding of how they really work? Bridging the gap between mathematical theory and financial practice, A Guide to Quantitative Finance provides you with all the tools and techniques to comprehend and implement the quantitative models adopted in the financial markets. With clearly explained theory and step-by-step instructions for building and using the equations, this comprehensive toolkit allows quantitative professionals, at all levels, to put derivative pricing and risk controlling models into practice. Compiled by a leading professor of mathematical finance, Marcello Minenna, this extensive manual will enable you to:understand the models adopted by the financial markets; evaluate the practical application of these models; implement the models presented; develop the skills required to independently tailor new models to your own specific needs. As well as an exhaustive reference guide for advanced practitioners and academics, this accessible manual is also designed for beginners and intermediate users to quickly grasp the complexities of quantitative finance. This self-contained and methodical guide is all you will need to fully grasp the mathematics underlying the pricing of derivatives. And most importantly, will empower you to put your quantitative skills into practice.
More
Shipping & Returns

For all orders exceeding a value of 100USD shipping is offered for free.

Returns will be accepted for up to 10 days of Customer’s receipt or tracking number on unworn items. You, as a Customer, are obliged to inform us via email before you return the item.

Otherwise, standard shipping charges apply. Check out our delivery Terms & Conditions for more details.

Reviews
*****
Verified Buyer
5
I expected this book to be a little more than something which just summarises all the formulae that are ever known in finance.There is no explanation provided for any of the formulae in the book.There are just propositions and theorems .. and they have filled 400+ pages with it ..Wouldnt recommend it .. unless you just need a handy guide to recollect the mathematics behind your model.

You Might Also Like