Investment Mathematics

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Investment Mathematics explores the mathematical principles and methods that underpin financial and investment models. It provides readers with a comprehensive understanding of key concepts essential for analysing financial markets and investments. The book is valuable for finance professionals and students eager to enhance their quantitative skills in finance and investment analysis.
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Format: Paperback / softback
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You might enjoy this book if you're looking to deepen your understanding of the mathematical concepts essential for finance and investment. It combines theoretical insights with practical applications, making it suitable for both students and professionals aiming to enhance their analytical skills in financial decision-making.

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Investment Mathematics

This second edition of this volume provides an introductory analysis of investments from a quantitative viewpoint, drawing together many of the tools and techniques required by investment professionals. Using these techniques, the authors provide simple analyses of a number of securities.

Book Hero Magic formatted this description to make it easier to read. While it's new and still learning, it may not be perfect - your feedback is welcome! Description

Investment Mathematics provides an introductory analysis of investments from a quantitative viewpoint, drawing together many of the tools and techniques required by investment professionals.

Using these techniques, the authors provide simple analyses of a number of securities including fixed interest bonds, equities, index-linked bonds, foreign currency, and derivatives.

The book concludes with coverage of other applications, including modern portfolio theory, portfolio performance measurement, and stochastic investment models.

Series: The Wiley Finance Series

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Book Details

INFORMATION

ISBN: 9780471998822

Publisher: John Wiley & Sons Inc

Format: Paperback / softback

Date Published: 24 January 2003

Country: United States

Imprint: John Wiley & Sons Inc

Audience: Professional and scholarly

DIMENSIONS

Spine width: 27.0mm

Width: 172.0mm

Height: 244.0mm

Weight: 765g

Pages: 448

About the Author

ANDREW ADAMS is Senior Lecturer in Finance and Director of the Centre for Financial Markets Research at the University of Edinburgh. He has studied financial markets for over thirty years, as a practitioner in the City of London and as an academic. His research interests focus mainly on investment trust pricing and risk.

PHILIP BOOTH is Professor of Insurance and Risk Management at the Sir John Cass Business School, City of London and Editorial and Programme Director at the Institute of Economic Affairs. He is a former special adviser at the Bank of England and previously held the Chair in Real Estate Finance and Investment at the Sir John Cass Business School. He has a long experience of teaching and researching in the fields of investment and social insurance and is author or co-author of a number of books and papers in these fields. Philip Booth is a Fellow of the Institute of Actuaries and of the Royal Statistical Society.

DAVID BOWIE is a Partner and head of quantitative analysis in the Investment Practice of Hymans Robertson Consultants & Actuaries. His focus is on the development and application of asset/liability modelling and the use of capital market theory in providing investment advice to pension funds and other institutional investors.

DELLA FREETH is Reader in Education for Health Care Practice at St Bartholomew School of Nursing and Midwifery, City University, where she conducts quantitative and qualitative research.

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