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Foundations of Quantitative Finance Book IV: Distribution Functions and Expectations
ISBN/GTIN

Foundations of Quantitative Finance Book IV: Distribution Functions and Expectations

eBookPDFE-Book
CHF135.45

Beschreibung

Published under the collective title of Foundations of Quantitative Finance, this set of 10 books develops the advanced topics in mathematics that finance professionals need to improve their careers. These books develop the theory most do not learn in graduate finance programs, finance mathematics undergraduate and graduate courses.
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Details

Weitere ISBN/GTIN9781000934533
ProduktarteBook
EinbandartE-Book
FormatPDF
Verlag/Label
Erscheinungsdatum12.09.2023
Auflage23001 A. 1. Auflage
Seiten268 Seiten
SpracheEnglisch
Dateigröße14688 Kbytes
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Autor:in

Robert R. Reitano is Professor of the Practice of Finance at the Brandeis International Business School where he specializes in risk management and quantitative finance, and where he previously served as MSF Program Director, and Senior Academic Director. He has a Ph.D. in Mathematics from MIT, is a Fellow of the Society of Actuaries, and a Chartered Enterprise Risk Analyst. He has taught as Visiting Professor at Wuhan University of Technology School of Economics, Reykjavik University School of Business, and as Adjunct Professor in Boston University's Masters Degree program in Mathematical Finance. Dr. Reitano consults in investment strategy and asset/liability risk management and previously had a 29-year career at John Hancock/Manulife in investment strategy and asset/liability management, advancing to Executive Vice President & Chief Investment Strategist. His research papers have appeared in a number of journals and have won an Annual Prize of the Society of Actuaries and two F.M.

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