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Introduction to the Mathematics of Finance

From Risk Management to Options Pricing (Undergraduate Texts in Mathematics)

by Steven Roman · August 10, 2004

Cover of Introduction to the Mathematics of Finance

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Options (Finance)Capital assets pricing modelMathematicsPricesMathematical modelsPortfolio managementInvestmentsOptions (finance)Distribution (Probability theory)FinanceFinance/Investment/BankingProbability Theory and Stochastic Processes
Introduction to the Mathematics of Finance by Steven Roman — book · Vinony