Mathematical Techniques in Finance

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A01=Amir Sadr
Author_Amir Sadr
black-scholes-merton
bond math
Brownian motion
Category=KF
derivative math
eq_bestseller
eq_business-finance-law
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
eq_non-fiction
finance math
finance math excel functions
Finance mathematics
interest rate curves
investment theory
math of finance
mathematics of finance
random walk

Product details

  • ISBN 9781119838401
  • Weight: 454g
  • Dimensions: 160 x 231mm
  • Publication Date: 28 Apr 2022
  • Publisher: John Wiley & Sons Inc
  • Publication City/Country: US
  • Product Form: Hardback
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Explore the foundations of modern finance with this intuitive mathematical guide

In Mathematical Techniques in Finance: An Introduction, distinguished finance professional Amir Sadr delivers an essential and practical guide to the mathematical foundations of various areas of finance, including corporate finance, investments, risk management, and more.

Readers will discover a wealth of accessible information that reveals the underpinnings of business and finance. You’ll learn about:

  • Investment theory, including utility theory, mean-variance theory and asset allocation, and the Capital Asset Pricing Model
  • Derivatives, including forwards, options, the random walk, and Brownian Motion
  • Interest rate curves, including yield curves, interest rate swap curves, and interest rate derivatives

Complete with math reviews, useful Excel functions, and a glossary of financial terms, Mathematical Techniques in Finance: An Introduction is required reading for students and professionals in finance.

AMIR SADR, Ph.D. is a highly sought-after expert in fixed income and interest rate derivatives. He is a university lecturer at NYU Courant and a consultant to banks and hedge funds, with a current focus on crypto derivatives. He has held senior management roles in quantitative research and trading at major banks and hedge funds including Morgan Stanley, Greenwich Capital, and Brevan Howard.

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