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This book introduces key results essential for financial practitioners by means of concrete examples and a fully rigorous exposition.

Produktbeschreibung
This book introduces key results essential for financial practitioners by means of concrete examples and a fully rigorous exposition.
Autorenporträt
Marek Capi¿ski has published over fifty research papers and nine books. His diverse interests include mathematical finance, corporate finance and stochastic hydrodynamics. For over thirty-five years he has been teaching these topics, mainly in Poland and in the UK, where he has held visiting fellowships. He is currently Professor of Applied Mathematics at AGH University of Science and Technology in Krakow, where he established a Master's programme in mathematical finance.