Financial Statistics and Mathematical Finance: Methods, Models and Applications
暫譯: 金融統計與數學金融:方法、模型與應用
Steland, Ansgar
- 出版商: Wiley
- 出版日期: 2012-08-13
- 售價: $3,530
- 貴賓價: 9.5 折 $3,353
- 語言: 英文
- 頁數: 432
- 裝訂: Hardcover - also called cloth, retail trade, or trade
- ISBN: 0470710586
- ISBN-13: 9780470710586
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相關分類:
機率統計學 Probability-and-statistics
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相關翻譯:
金融統計與數理金融(方法模型及應用) (簡中版)
海外代購書籍(需單獨結帳)
商品描述
Mathematical finance has grown into a huge area of research which requires a lot of care and a large number of sophisticated mathematical tools. Mathematically rigorous and yet accessible to advanced level practitioners and mathematicians alike, it considers various aspects of the application of statistical methods in finance and illustrates some of the many ways that statistical tools are used in financial applications.
Financial Statistics and Mathematical Finance:
- Provides an introduction to the basics of financial statistics and mathematical finance.
- Explains the use and importance of statistical methods in econometrics and financial engineering.
- Illustrates the importance of derivatives and calculus to aid understanding in methods and results.
- Looks at advanced topics such as martingale theory, stochastic processes and stochastic integration.
- Features examples throughout to illustrate applications in mathematical and statistical finance.
- Is supported by an accompanying website featuring R code and data sets.
Financial Statistics and Mathematical Finance introduces the financial methodology and the relevant mathematical tools in a style that is both mathematically rigorous and yet accessible to advanced level practitioners and mathematicians alike, both graduate students and researchers in statistics, finance, econometrics and business administration will benefit from this book.
商品描述(中文翻譯)
數學金融已發展成為一個龐大的研究領域,這需要大量的謹慎和許多複雜的數學工具。這本書在數學上嚴謹,卻又對高級從業者和數學家都能夠理解,考慮了統計方法在金融中的應用的各個方面,並說明了統計工具在金融應用中的多種使用方式。
《金融統計與數學金融》:
- 提供金融統計和數學金融基礎的介紹。
- 解釋統計方法在計量經濟學和金融工程中的使用及其重要性。
- 說明衍生品和微積分的重要性,以幫助理解方法和結果。
- 探討如鞅理論、隨機過程和隨機積分等高級主題。
- 在全書中提供範例,以說明數學和統計金融的應用。
- 附有一個支持網站,提供 R 語言代碼和數據集。
《金融統計與數學金融》以數學上嚴謹且易於理解的風格介紹金融方法論及相關的數學工具,無論是研究生還是統計、金融、計量經濟學和商業管理的研究人員,都能從這本書中受益。
作者簡介
Ansgar Steland, Institute for Statistics and Economics, RWTH Aachen University, Germany.
作者簡介(中文翻譯)
安斯卡·斯特蘭德,德國亞琛工業大學統計與經濟學研究所。