|
![]() |
|||
|
||||
OverviewThis open access textbook is the first to provide Business and Economics Ph.D. students with a precise and intuitive introduction to the formal backgrounds of modern financial theory. It explains Brownian motion, random processes, measures, and Lebesgue integrals intuitively, but without sacrificing the necessary mathematical formalism, making them accessible for readers with little or no previous knowledge of the field. It also includes mathematical definitions and the hidden stories behind the terms discussing why the theories are presented in specific ways. Full Product DetailsAuthor: Andreas Löffler , Lutz KruschwitzPublisher: Springer Nature Switzerland AG Imprint: Springer Nature Switzerland AG Edition: 2019 ed. Weight: 0.454kg ISBN: 9783030201050ISBN 10: 3030201058 Pages: 125 Publication Date: 14 August 2020 Audience: College/higher education , Undergraduate Format: Paperback Publisher's Status: Active Availability: Manufactured on demand ![]() We will order this item for you from a manufactured on demand supplier. Table of ContentsIntroduction.- Set Theory.- Measures and Probabilities.- Random Variables.- Expectation and Lebesque Integral.- Wiener's Construction of the Brownian motion.- Supplements.- References.- Index.Reviews“The textbook is excellent for economists and financial economists who want to understand a little deeper in the Brownian motion with this soft introduction.” (Weiping Li, zbMATH 1426.91005, 2020) The textbook is excellent for economists and financial economists who want to understand a little deeper in the Brownian motion with this soft introduction. (Weiping Li, zbMATH 1426.91005, 2020) Author InformationAndreas Löffler received his postdoctoral qualification (habilitation) in Mathematics and Economics from the University of Leipzig and Free University Berlin, Germany, and has been a Professor of Banking and Finance at the Department of Finance, Accounting and Taxation of the Free University of Berlin since 2012. Lutz Kruschwitz is a Professor Emeritus of Banking and Finance at the Free University of Berlin, Germany. Tab Content 6Author Website:Countries AvailableAll regions |