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Mathematical Finance: Theory, Modeling, Implementation
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Mathematical Finance: Theory, Modeling, ImplementationMathematical Finance: Theory, Modeling, Implementation

A balanced introduction to the theoretical foundations and real-world applications of mathematical finance
The ever-growing use of derivative products makes it essential for financial industry practitioners to have a solid understanding of derivative pricing. To cope with the growing complexity, narrowing margins, and shortening life-cycle of the individual derivative product, an efficient, yet modular, implementation of the pricing algorithms is necessary. Mathematical Finance is the first book to harmonize the theory, modeling, and implementation of today's most prevalent pricing models under one convenient cover.
 
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Tags: pricing, derivative, Mathematical, Finance, implementation, Modeling
Stochastic Processes for Finance
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Stochastic Processes for FinanceStochastic Processes for Finance

A wonderful display of the use of mathematical probability to derive a large set of results from a small set of assumptions. In summary, this is a well-written text that treats the key classical models of finance through an applied probability approach. It should serve as an excellent introduction for anyone studying the mathematics of the classical theory of finance.
 
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Tags: classical, probability, finance, excellent, introduction, Stochastic, Processes
The Economist - 30th October - 5th November 2010
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The Economist - 30th October - 5th November 2010The Economist - 30th October - 5th November 2010

The Economist is a global weekly magazine written for those who share an uncommon interest in being well and broadly informed. Each issue explores the close links between domestic and international issues, business, politics, finance, current affairs, science, technology and the arts.

Audio added Thanks to frienship_maker

 
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Tags: times, published, Economist, weekly, approximately, November, international, issues, domestic, October, Economist, politics, finance
Monte Carlo Methods and Models in Finance and Insurance
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Monte Carlo Methods and Models in Finance and InsuranceMonte Carlo Methods and Models in Finance and Insurance

Offering a unique balance between applications and calculations, Monte Carlo Methods and Models in Finance and Insurance incorporates the application background of finance and insurance with the theory and applications of Monte Carlo methods. It presents recent methods and algorithms, including the multilevel Monte Carlo method, the statistical Romberg method, and the Heath–Platen estimator, as well as recent financial and actuarial models, such as the Cheyette and dynamic mortality models.

 
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Tags: Monte, Carlo, Finance, Insurance, recent, Methods
The Essentials of Finance and Accounting for Nonfinancial Managers
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The Essentials of Finance and Accounting for Nonfinancial ManagersThe Essentials of Finance and Accounting for Nonfinancial Managers

Outside of the accounting and finance departments, not many business people are interested in the finer points of financial reports. But every manager must have a thorough understanding of what their finance and accounting staffs do, why they do it, and what these reports really mean.

This indispensable book demystifies the role that accounting and finance play in a corporation and demonstrates how financial decisions are manifestations of company goals. The author's crystal-clear examples show how managers can connect corporate financial information directly to their own strategies and actions.

 
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Tags: financial, finance, accounting, reports, their, accounting, financial