An Introduction to the Mathematics of Finance: A Deterministic Approach

by Stephen Garrett

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Book cover for An Introduction to the Mathematics of Finance

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An Introduction to the Mathematics of Finance: A Deterministic Approach, Second edition, offers a highly illustrated introduction to mathematical finance, with a special emphasis on interest rates. This revision of the McCutcheon-Scott classic follows the core subjects covered by the first professional exam required of UK actuaries, the CT1 exam. It realigns the table of contents with the CT1 exam and includes sample questions from past exams of both The Actuarial Profession and the CFA Institute. With a wealth of solved problems and interesting applications, An Introduction to the Mathematics of Finance stands alone in its ability to address the needs of its primary target audience, the actuarial student.
  • ISBN13 9780081013021
  • Publish Date 5 May 2016 (first published 21 January 1989)
  • Publish Status Active
  • Publish Country GB
  • Publisher Taylor & Francis Ltd
  • Imprint Butterworth-Heinemann Ltd
  • Edition 2nd edition
  • Format Paperback
  • Pages 464
  • Language English