Tatiana Filatova
About the Author
Tatiana Filatova is a distinguished mathematician and educator with a passion for demystifying the complexities of financial mathematics. Holding advanced degrees in applied mathematics and economics, she has dedicated her career to bridging theoretical concepts with practical applications, making advanced topics accessible to students and professionals alike. Her work emphasizes rigorous problem-solving and real-world relevance, drawing from her extensive experience in academia and financial consulting. Filatova's innovative teaching methods have inspired countless learners to master quantitative finance, fostering a deeper understanding of risk management, investment strategies, and economic modeling. Through her publications, she continues to shape the field, empowering readers to navigate the intricacies of modern financial systems with confidence and precision.
Books by Tatiana Filatova
