
Understanding the math behind the money Finance professionals are routinely faced with a variety of different challenges from clients across a number of industries. From projecting cash flows to modeling future pension benefits to pricing derivatives for hedging to valuing real options, analysts regularly find themselves seeking solutions to these diverse problems. The Mathematics of Financial Models presents real–world problems and shows how various quantitative methods can be used to solve them. Self study exercises, results, and pre–formatted interactive spreadsheets provide the tools and practical solutions professionals need, along with a brief refresher course on key mathematical topics. In addition to this, the book also: Bridges the gap between highly mathematical quantitative analysis and the practical methodologies needed by investment professionals facing valuation and modeling issues in multiple fields Serves as a useful reference for financial analysts, sales people, and graduate students in economics, accounting, and finance Covers practical problems across different sectors so as to help today?s analyst become familiar with a variety of challenges across varying industries Packed with real–world case studies and solutions to everyday problems faced by professionals, The Mathematics of Financial Models is a must–have for those in the financial sector or aspiring professionals in finance.
- ISBN: 978-1-118-00461-6
- Editorial: John Wiley & Sons
- Encuadernacion: Cartoné
- Páginas: 352
- Fecha Publicación: 11/06/2014
- Nº Volúmenes: 1
- Idioma: Inglés