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Paul Wilmott On Quantitative Finance, 2 Volume Set

Paul Wilmott On Quantitative Finance, 2 Volume Set

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The only comprehensive reference encompassing both traditional and new derivatives and financial engineering techniques. Based on the author's successful book, this set is a guide to derivatives and related financial products. It includes updated coverage and new chapters on topics like stochastic control, utility theory, stochastic volatility, mortgages, real options, power derivatives, weather derivatives, insurance derivatives, and more. Clear explanations of mathematical procedures are provided.

Details of Book

ISBN13: 9780471874386
ISBN10: 0471874388
Language: English
Publisher: Wiley
Publication Year: 2000
Format: Hardcover

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A note on book covers: while we do our best to ensure the accuracy of cover images, ISBNs may at times be reused for different editions of the same title which may hence appear as a different cover.

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  • One Line Summary

    In-depth guide for finance professionals and enthusiasts.

  • Who is this book for?

    If you're delving into finance or looking to bolster your understanding of derivatives, this two-volume set by Paul Wilmott is a treasure. Its comprehensive coverage and clear explanations make complex topics approachable, making it perfect for both students and seasoned practitioners. You'll appreciate how it updates classic concepts with fresh insights into innovative financial products.

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