Ebook Mathematical methods for finance: Tools for asset and risk management - Part 2
Số trang: 156
Loại file: pdf
Dung lượng: 1.51 MB
Lượt xem: 18
Lượt tải: 0
Xem trước 10 trang đầu tiên của tài liệu này:
Thông tin tài liệu:
Continued part 1, part 2 of ebook "Mathematical methods for finance: Tools for asset and risk management" provides readers with contents including: chapter 7 - optimization; chapter 8 - difference equations; chapter 9 - differential equations; chapter 10 - stochastic integrals; chapter 11 - stochastic differential equations;...
Nội dung trích xuất từ tài liệu:
Ebook Mathematical methods for finance: Tools for asset and risk management - Part 2
Nội dung trích xuất từ tài liệu:
Ebook Mathematical methods for finance: Tools for asset and risk management - Part 2
Tìm kiếm theo từ khóa liên quan:
Mathematical methods for finance Tools for asset and risk management Difference equations Differential equations Stochastic integrals Stochastic differential equationsTài liệu liên quan:
-
Ebook Mathematical methods for finance: Tools for asset and risk management - Part 1
166 trang 194 0 0 -
21 trang 66 0 0
-
Ebook Differential equations - McGraw-Hill
143 trang 27 0 0 -
732 trang 26 0 0
-
Ebook An introduction to mathematics for economics: Part 2
121 trang 25 0 0 -
Ebook Differential and Integral Equation: Part 1
250 trang 23 0 0 -
Ebook Computational physics - Simulation of classical and quantum systems (3/E): Part 1
337 trang 21 0 0 -
Ebook An introduction to Neural network methods for differential equations
124 trang 19 0 0 -
27 trang 19 0 0
-
INTRODUCTION TO DIFFERENTIAL EQUATIONS
445 trang 15 0 0