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Principles Of Financial Engineering

Principles Of Financial Engineering

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Principles of Financial Engineering presents a fresh, original, informative, and up-to-date introduction to financial engineering. Rather than introducing financial instruments, this book describes the methods of synthetically creating assets in static and in dynamic environments, and shows how to use them. It offers clear links between intuition and underlying mathematics and an outstanding mixture of market insights and mathematical materials. It emphasizes developing methods that can be used to solve risk management, taxation, regulation, and above all, pricing problems. It explains issues involved in the day-to-day life of traders, using non-mathematical language. It provides a careful and concise analysis of the LIBOR market model and of volatility engineering problems. Exercises and case studies at end of each chapter as well as on-line Solutions Manual are available. This book will be a useful resource for anyone learning about practical elements of financial engineering. It can also serve as a resource for professionals and academics in all areas of quantitative finance. * Exercises and case studies at end of each chapter and on-line Solutions Manual provided* Explains issues involved in day-to-day life of traders, using language other than mathematics* Careful and concise analysis of the LIBOR market model and of volatility engineering problems

Details of Book

ISBN13: 9780125153942
ISBN10: 0125153945
Language: English
Publisher: Academic Press
Publication Year: 2004
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

    Insightful guide to creating financial assets and solutions.

  • Who is this book for?

    This book is perfect if you're interested in understanding the nuts and bolts of financial engineering without wading through heavy math. It offers real-world insights into risk management, trading, and market models, making complex concepts accessible and practical. Whether you're a student or a seasoned professional, you'll appreciate its clear explanations and case studies that bring the subject to life.

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