Mathematik, Finanzen und Risiko Ser.: Konzepte und Praxis der Mathematik...
The product is a textbook titled "Concepts and Practice of Mathematical Finance" by Mark S. Joshi, published by Cambridge University Press in 2003. It is part of the "Mathematics, Finance and Risk Ser." series, focusing on subjects like interest, investments, derivatives, decision-making, and problem-solving in the realm of finance. The book is designed for students and professionals interested in in-depth analysis and trading strategies within the field of finance, with a particular emphasis on mathematical concepts and applications. It is a hardcover text with 492 pages, written in English.
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