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This textbook bridges the gap between theory and application in financial mathematics. It provides a solid foundation in key concepts and tools for building realistic models, supported by a variety of examples and exercises. Aimed at advanced undergraduates and first-year graduate students, it also benefits those in related fields seeking a deeper understanding of finance.
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An Introduction to Mathematical Finance with Applications, Arlie O. Petters, Xiaoying Dong
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- Pubblicato
- 2018
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