Analytical Finance: Volume II: The Mathematics of Interest Rate Derivatives, Markets, Risk and Valuation
I will be using this book for:

Analytical Finance: Volume II: The Mathematics of Interest Rate Derivatives, Markets, Risk and Valuation

by Jan R. M. Röman

Business Finance Mathematics
1 Star 2 Star 3 Star 4 Star 5 Star
0.0 out of 5 stars (0 ratings)

Analytical Finance Volume II delivers essential mathematics for interest rate derivatives, markets, risk, and valuation, supporting advanced study and professional application in finance.

About This Book

This volume explores the mathematical foundations of interest rate derivatives and their applications in financial markets.

Readers will gain insight into risk assessment and valuation techniques used by professionals in the field.

The text provides a structured approach to understanding complex financial instruments and market dynamics.

Reviews

No reviews yet. Be the first to review this book!


Write a Review
I will be using this book for: