Financial Derivatives in Theory and Practice (Wiley Series in Probability and Statistics)
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Financial Derivatives in Theory and Practice (Wiley Series in Probability and Statistics)

by Philip Hunt, Joanne Kennedy

Finance Mathematics statistics Derivatives
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An authoritative resource on financial derivatives, blending theory and practice within the framework of probability and statistics for finance professionals and academics.

About This Book

This book provides an in-depth exploration of financial derivatives, combining theoretical frameworks with practical insights.

Readers will gain a solid understanding of probability and statistics as they apply to financial markets and instruments.

The text is part of the Wiley Series in Probability and Statistics, ensuring rigorous academic standards.

Authored by Philip Hunt and Joanne Kennedy, the work addresses both foundational concepts and advanced topics in the field.

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I will be using this book for: