|
![]() |
|||
|
||||
OverviewRobert Reitano's Introduction to Quantitative Finance offers an accessible yet rigorous development of many of the fields of mathematics necessary for success in investment and quantitative finance, covering topics applicable to portfolio theory, investment banking, option pricing, investment, and insurance risk management. The approach emphasizes the mathematical framework provided by each mathematical discipline, and the application of each framework to the solution of finance problems. This manual provides solutions to the Practice Exercises in the text. Full Product DetailsAuthor: Robert R. Reitano (Professor of the Practice in Finance, Brandeis University)Publisher: MIT Press Ltd Imprint: MIT Press Edition: New edition Dimensions: Width: 17.80cm , Height: 1.00cm , Length: 22.90cm Weight: 0.295kg ISBN: 9780262514347ISBN 10: 0262514346 Pages: 176 Publication Date: 31 March 2010 Recommended Age: From 18 years Audience: College/higher education , Tertiary & Higher Education Format: Paperback Publisher's Status: Out of Stock Indefinitely Availability: In Print ![]() Limited stock is available. It will be ordered for you and shipped pending supplier's limited stock. Table of ContentsReviewsAuthor InformationRobert R. Reitano is Professor of the Practice in Finance at Brandeis University's International Business School. He was formerly Executive Vice President and Chief Investment Strategist of John Hancock/Manulife. Tab Content 6Author Website:Countries AvailableAll regions |