This book provides a comprehensive overview of existing and original material, about what mathematics when allied with
Mathematica can do for finance. Sophisticated theories are presented systematically in a user-friendly style, and a powerful combination of mathematical rigor and
Mathematica programming. The book is designed for the academic community of instructors and students, and most importantly, will meet the everyday trading needs of quantitatively inclined professional and indiviual investors who want to solve various problems encountered when investing and trading in stocks and stock options.
| Author: Srdjan Stojanovic |
| Publisher: Birkhauser |
| Publication Date: May 17, 2013 |
| Number of Pages: 481 pages |
| Binding: Paperback or Softback |
| ISBN-10: 146126586X |
| ISBN-13: 9781461265863 |