Mathematics And Financial

Proceedings of the Second International Forum on Financial Mathematics and Financial Technology

Proceedings of the Second International Forum on Financial Mathematics and Financial Technology by Zhiyong Zheng
English | PDF EPUB (True) | 2023 | 242 Pages | ISBN : 9819923654 | 27.9 MB

This book is the documentary of the Second International Forum on Financial Mathematics and Financial Technology, with focus on selected aspects of the current and upcoming trends in FinTech. In detail, the included scientific papers cover financial mathematics and FinTech, presenting the innovative mathematical models and state-of-the-art technologies such as deep learning, with the aim to improve the financial analysis and decision-making and enhance the quality of financial services and risk control. The variety of the papers delivers added value for both scholars and practitioners where they will find perfect integration of elegant mathematical models and up-to-date data mining technologies in financial market analysis. Due to COVID-19, the conference was held virtually on August 13–15, 2021, jointly held by the School of Mathematics of Renmin University of China, the Engineering Research Center of Financial Computing and Digital Engineering of Ministry of Education, the Statistics and Big Data Research Institute of Renmin University of China, the Blockchain Research Institute of Renmin University of China, the Zhongguancun Internet Finance Research Institute, and the Renmin University Press.
Proceedings of the First International Forum on Financial Mathematics and Financial Technology

Proceedings of the First International Forum on Financial Mathematics and Financial Technology
(Financial Mathematics and Fintech)
by Zhiyong Zheng

English | 2021 | ISBN: 9811583722 | 189 Pages | PDF EPUB | 17 MB
Money and Mathematics: A Conversational Approach to Modern Financial Mathematics and Insurance

Money and Mathematics: A Conversational Approach to Modern Financial Mathematics and Insurance by Ralf Korn
English | PDF,EPUB | 2021 | 300 Pages | ISBN : 3658346760 | 18 MB

This book follows a conversational approach in five dozen stories that provide an insight into the colorful world of financial mathematics and financial markets in a relaxed, accessible and entertaining form. The authors present various topics such as returns, real interest rates, present values, arbitrage, replication, options, swaps, the Black-Scholes formula and many more. The readers will learn how to discover, analyze, and deal with the many financial mathematical decisions the daily routine constantly demands.
Calculus: The Mathematics of Financial Markets: A Comprehensive survey of Financial Calculus

Calculus: The Mathematics of Financial Markets: A Comprehensive survey of Financial Calculus by Hayden Van Der Post
English | December 3, 2023 | ISBN: N/A | ASIN: B0CPDXGJFB | 311 pages | EPUB | 1.48 Mb
The Mathematics of Financial Models + Website: Solving Real-world Problems with Quantitative Methods

Kannoo Ravindran, "The Mathematics of Financial Models + Website: Solving Real-world Problems with Quantitative Methods"
English | ISBN: 1118004612 | 2014 | 352 pages | PDF | 3 MB
The Mathematics of Financial Models: Solving Real-World Problems with Quantitative Methods (Repost)

The Mathematics of Financial Models: Solving Real-World Problems with Quantitative Methods By Kannoo Ravindran
2014 | 352 Pages | ISBN: 1118004612 | PDF | 3 MB

The Mathematics of Financial Modeling and Investment Management  eBooks & eLearning

Posted by step778 at March 1, 2019
The Mathematics of Financial Modeling and Investment Management

Sergio M. Focardi, Frank J. Fabozzi, "The Mathematics of Financial Modeling and Investment Management"
2004 | pages: 801 | ISBN: 0471465992 | PDF | 8,9 mb

Introduction to the Economics and Mathematics of Financial Markets (Repost)  eBooks & eLearning

Posted by step778 at April 3, 2019
Introduction to the Economics and Mathematics of Financial Markets (Repost)

Jaksa Cvitanic, Fernando Zapatero, "Introduction to the Economics and Mathematics of Financial Markets"
2004 | pages: 517 | ISBN: 0262033208 | PDF | 1,5 mb
Mathematics and Statistics for Financial Risk Management (2nd Edition) (repost)

Michael B. Miller, "Mathematics and Statistics for Financial Risk Management (2nd Edition)"
2014 | ISBN-10: 1118750292 | 336 pages | PDF | 31 MB

Mathematics and Statistics for Financial Risk Management  eBooks & eLearning

Posted by ksveta6 at July 18, 2013
Mathematics and Statistics for Financial Risk Management

Mathematics and Statistics for Financial Risk Management by Michael B. Miller
2012 | ISBN: 1118170628 | English | 291 pages | PDF | 4.50 MB