The Calculus of Markets: The Foundations of Financial Modeling: A Comprehensive Guide 2025
暫譯: 市場微積分:金融模型的基礎:全面指南 2025
Publishing, Reactive, Van Der Post, Hayden, Schwartz, Alice
- 出版商: Independently Published
- 出版日期: 2025-02-26
- 售價: $970
- 貴賓價: 9.8 折 $950
- 語言: 英文
- 頁數: 244
- 裝訂: Quality Paper - also called trade paper
- ISBN: 9798312240023
- ISBN-13: 9798312240023
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相關分類:
投資理財 Investment、Python
海外代購書籍(需單獨結帳)
相關主題
商品描述
Discover the power of mathematical finance with The Calculus of Markets: The Foundations of Financial Modeling. This essential guide introduces the core principles of financial mathematics and shows you how to implement them with Python to model and solve real-world financial problems. Whether you're an aspiring quant analyst, finance professional, or tech enthusiast, this book provides a deep dive into the mathematical foundations of modern finance, preparing you for advanced topics in derivatives, risk management, and algorithmic trading.
Key Features:
- Comprehensive Mathematical Foundations: Gain a deep understanding of the key mathematical concepts such as calculus, linear algebra, probability theory, and stochastic processes, crucial for financial modeling.
- Black-Scholes and Beyond: Learn how to apply the Black-Scholes model for option pricing and explore advanced models that address its limitations, such as the binomial option pricing model and Monte Carlo simulations.
- Python Programming for Financial Models: Learn to implement complex mathematical models with Python, including coding examples for derivatives pricing, risk assessment, and portfolio optimization.
- Real-World Applications: Work through practical case studies and coding exercises to apply theoretical concepts to real-world financial markets.
- Step-by-Step Approach: Whether you're new to finance or looking to expand your knowledge, this book breaks down complex concepts into digestible steps, making it ideal for both beginners and advanced learners.
What You'll Learn:
- Mathematical Models: Master the key financial models such as Black-Scholes, option pricing, and stochastic differential equations (SDEs).
- Risk Management: Learn how to assess and mitigate risk in financial markets using mathematical techniques and Python.
- Financial Calculus: Understand the role of calculus and probability theory in modeling financial instruments and derivatives.
- Python for Finance: Build Python-based solutions to solve real-world financial problems and optimize your financial modeling skills.
Who This Book is For:
- Aspiring quantitative analysts and finance students looking to understand the mathematical foundation behind financial models.
- Finance professionals seeking to deepen their understanding of financial engineering and risk management.
- Python developers interested in applying their programming skills to solve complex finance problems.
- Investors, traders, and financial engineers who want to enhance their data-driven decision-making using quantitative methods.
By the end of this book, you will have the skills to implement advanced mathematical models and Python-based solutions, equipping you with the tools to excel in the world of financial markets and quantitative finance.
Start building your financial modeling expertise today!
商品描述(中文翻譯)
反應式出版
透過市場微積分:金融模型的基礎,發現數學金融的力量。這本必備指南介紹了金融數學的核心原則,並展示如何使用Python來建模和解決現實世界中的金融問題。無論您是有志於成為量化分析師的專業人士、金融專業人士,還是技術愛好者,本書都深入探討了現代金融的數學基礎,為您準備進入衍生品、風險管理和算法交易等高級主題。
主要特點:
-
全面的數學基礎: 深入理解關鍵的數學概念,如微積分、線性代數、概率論和隨機過程,這些對金融建模至關重要。 -
布萊克-斯科爾斯模型及其延伸: 學習如何應用布萊克-斯科爾斯模型進行期權定價,並探索解決其局限性的高級模型,如二項期權定價模型和蒙地卡羅模擬。 -
金融模型的Python編程: 學習如何使用Python實現複雜的數學模型,包括衍生品定價、風險評估和投資組合優化的編碼範例。 -
現實世界的應用: 通過實際案例研究和編碼練習,將理論概念應用於現實世界的金融市場。 -
逐步方法: 無論您是金融新手還是希望擴展知識,本書將複雜的概念分解為易於消化的步驟,適合初學者和進階學習者。
您將學到的內容:
-
數學模型: 精通關鍵的金融模型,如布萊克-斯科爾斯模型、期權定價和隨機微分方程(SDEs)。 -
風險管理: 學習如何使用數學技術和Python評估和減輕金融市場中的風險。 -
金融微積分: 理解微積分和概率論在建模金融工具和衍生品中的作用。 -
金融的Python: 建立基於Python的解決方案,以解決現實世界的金融問題並優化您的金融建模技能。
本書適合誰:
- 有志於成為量化分析師的學生和希望了解金融模型背後數學基礎的金融學生。
- 希望深化對金融工程和風險管理理解的金融專業人士。
- 有興趣將編程技能應用於解決複雜金融問題的Python開發者。
- 希望利用量化方法增強數據驅動決策能力的投資者、交易員和金融工程師。
在本書結束時,您將具備實現高級數學模型和基於Python的解決方案的技能,為您在金融市場和量化金融的世界中脫穎而出提供工具。
今天就開始建立您的金融建模專業知識吧!