Financial Mathematics with Python: Methods for Interest Rates, Bonds, Derivatives, Risk, and Portfolios

Author:   Danny Munrow ,  Hayden Van Der Post
Publisher:   Independently Published
ISBN:  

9798196860386


Pages:   536
Publication Date:   13 May 2026
Format:   Paperback
Availability:   Available To Order   Availability explained
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Financial Mathematics with Python: Methods for Interest Rates, Bonds, Derivatives, Risk, and Portfolios


Overview

Reactive PublishingFinancial Mathematics with Python is a practical guide to the quantitative methods used in modern finance, investment analysis, and risk modeling. Written for readers who want to connect financial theory with computational implementation, this book introduces core mathematical concepts through clear explanations and Python-based examples. The book covers interest rate calculations, bond pricing, yield measures, duration, convexity, derivative valuation, risk modeling, and portfolio analysis. Each topic is presented with an emphasis on understanding the logic behind the calculations, translating formulas into code, and applying financial mathematics in structured analytical workflows. Rather than treating Python as an afterthought, this book uses programming as a natural extension of financial reasoning. Readers will learn how to build reusable calculations, model cash flows, evaluate securities, simulate financial outcomes, and analyze risk across different financial instruments. Inside, readers will explore: Interest rate mathematics and time value of money Bond pricing, yield curves, duration, and convexity Derivative pricing concepts and computational valuation methods Risk measures, volatility, scenario analysis, and model assumptions Portfolio calculations, returns, covariance, diversification, and allocation logic Python workflows for financial modeling and quantitative analysis Financial Mathematics with Python is designed for students, analysts, finance professionals, and technically minded readers who want a rigorous but accessible foundation in computational finance. Whether used for study, professional development, or independent research, this book provides a structured pathway into the mathematics that supports financial decision-making.

Full Product Details

Author:   Danny Munrow ,  Hayden Van Der Post
Publisher:   Independently Published
Imprint:   Independently Published
Dimensions:   Width: 15.20cm , Height: 3.40cm , Length: 22.90cm
Weight:   0.640kg
ISBN:  

9798196860386


Pages:   536
Publication Date:   13 May 2026
Audience:   General/trade ,  General
Format:   Paperback
Publisher's Status:   Active
Availability:   Available To Order   Availability explained
We have confirmation that this item is in stock with the supplier. It will be ordered in for you and dispatched immediately.

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