Robert R. Reitano
Foundations of Quantitative Finance Book II: Probability Spaces and Random Variables
Foundations of Quantitative Finance Book II: Probability Spaces and Random Variables
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- More about Foundations of Quantitative Finance Book II: Probability Spaces and Random Variables
The second book in a set of ten on quantitative finance for practitioners presents the theory needed to better understand applications, supplements previous training in mathematics, and is built from the author's four decades of experience in industry, research, and teaching.
Format: Paperback / softback
Length: 257 pages
Publication date: 02 December 2022
Publisher: Taylor & Francis Ltd
The second installment in a comprehensive ten-volume series on quantitative finance, designed specifically for practitioners in the field. This invaluable resource provides the theoretical foundation required to enhance one's understanding of various applications within the realm of quantitative finance. By complementing previous training in mathematics, it offers a comprehensive and practical approach to the subject matter. Drawing upon the author's extensive four-decade career in industry, research, and teaching, this book offers a wealth of insights and expertise that are invaluable to both aspiring and experienced professionals alike.
The second installment in a comprehensive ten-volume series on quantitative finance, designed specifically for practitioners in the field. This invaluable resource provides the theoretical foundation required to enhance one's understanding of various applications within the realm of quantitative finance. By complementing previous training in mathematics, it offers a comprehensive and practical approach to the subject matter. Drawing upon the author's extensive four-decade career in industry, research, and teaching, this book offers a wealth of insights and expertise that are invaluable to both aspiring and experienced professionals alike.
Weight: 508g
Dimension: 254 x 178 (mm)
ISBN-13: 9781032197173
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