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Autore: Romagnoli
Editore: Esculapio
Data di Pubblicazione: 2019
Edizione: 3
ISBN: 9788893851527
Pagine: 288
The aim of these two books is to provide the basic theoretical concepts and the best practice concerning the mathematical finance which is unescapable to understand the way modern financial markets operate. Thanks to these fundamental concepts, which are completely concentrated on a deterministic modelization of the markets, students are ready to approach more advanced courses focused on the modern area of financial math where the deterministic assumption is left and stochastic assumptions concerning the evolution of the involved variables are included.