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Basics of financial mathematics

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PublisherLulu.com; Standard Edition
ISBN 139781716867170
ISBN 101716867177
AuthorSerge MOULIN
LanguageEnglish
Book DescriptionModern finance includes a large number of highly technical specializations: credit, interest rates, equities, commodities, foreign exchange... But in reality, each of these fields uses and adapts the fundamental mathematical tools of finance. These common tools make it possible to link the different types of risk and to better understand the limits of financial solutions. The author offers here a global introduction to the fundamental notions of financial mathematics by applying them to the major subjects that may be of interest to the practitioner: treasurer, financial director, financial manager, asset/liability manager, risk management, financial advisor
About the AuthorThe author is the founder of ALM-Vision, a FinTech specialized on quantitative modeling for finance. He is an actuary from the French National School of Statistics and Economic Administration. He is a specialist in ALM of financial institutions. He wrote several books and papers on the subject. He was one of the bankers the most involved in the rescue operations implemented in Europe following the 2008 crisis.
Publication Date21 February 2021
Number of Pages190 pages

Basics of financial mathematics

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