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The Mathematics of Financial Modeling and Investment Management (Frank J. Fabozzi Series) [Hardcover]

Sergio M. Focardi (Author), Frank J. Fabozzi CFA (Author)
2.7 out of 5 stars  See all reviews (3 customer reviews)

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Book Description

March 29, 2004 0471465992 978-0471465997 1
the mathematics of financial modeling & investment management

The Mathematics of Financial Modeling & Investment Management covers a wide range of technical topics in mathematics and finance-enabling the investment management practitioner, researcher, or student to fully understand the process of financial decision-making and its economic foundations.

This comprehensive resource will introduce you to key mathematical techniques-matrix algebra, calculus, ordinary differential equations, probability theory, stochastic calculus, time series analysis, optimization-as well as show you how these techniques are successfully implemented in the world of modern finance. Special emphasis is placed on the new mathematical tools that allow a deeper understanding of financial econometrics and financial economics. Recent advances in financial econometrics, such as tools for estimating and representing the tails of the distributions, the analysis of correlation phenomena, and dimensionality reduction through factor analysis and cointegration are discussed in depth.

Using a wealth of real-world examples, Focardi and Fabozzi simultaneously show both the mathematical techniques and the areas in finance where these techniques are applied. They also cover a variety of useful financial applications, such as:
* Arbitrage pricing
* Interest rate modeling
* Derivative pricing
* Credit risk modeling
* Equity and bond portfolio management
* Risk management
* And much more


Filled with in-depth insight and expert advice, The Mathematics of Financial Modeling & Investment Management clearly ties together financial theory and mathematical techniques.

Frequently Bought Together

Customers buy this book with Financial Modeling of the Equity Market: From CAPM to Cointegration (Frank J. Fabozzi Series) $67.21

The Mathematics of Financial Modeling and Investment Management (Frank J. Fabozzi Series) + Financial Modeling of the Equity Market: From CAPM to Cointegration (Frank J. Fabozzi Series)
Price For Both: $141.61

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Editorial Reviews

Review

"This outstanding reference surveys it all...if you are a quantitative professional, you want this book on your shelf." -- Riskbook.com

"I strongly recommend this [book]....If I’d had this book available a few years ago, it would have helped me start a career in financial engineering." Financial Engineering News- in naming Mathematics of Financial Modeling as one of its Top 3 books for 2005

From the Back Cover

the mathematics of financial modeling & investment management

The Mathematics of Financial Modeling & Investment Management covers a wide range of technical topics in mathematics and finance–enabling the investment management practitioner, researcher, or student to fully understand the process of financial decision-making and its economic foundations.

This comprehensive resource will introduce you to key mathematical techniques–matrix algebra, calculus, ordinary differential equations, probability theory, stochastic calculus, time series analysis, optimization–as well as show you how these techniques are successfully implemented in the world of modern finance. Special emphasis is placed on the new mathematical tools that allow a deeper understanding of financial econometrics and financial economics. Recent advances in financial econometrics, such as tools for estimating and representing the tails of the distributions, the analysis of correlation phenomena, and dimensionality reduction through factor analysis and cointegration are discussed in depth.

Using a wealth of real-world examples, Focardi and Fabozzi simultaneously show both the mathematical techniques and the areas in finance where these techniques are applied. They also cover a variety of useful financial applications, such as:

  • Arbitrage pricing
  • Interest rate modeling
  • Derivative pricing
  • Credit risk modeling
  • Equity and bond portfolio management
  • Risk management
  • And much more

Filled with in-depth insight and expert advice, The Mathematics of Financial Modeling & Investment Management clearly ties together financial theory and mathematical techniques.


Product Details

  • Hardcover: 800 pages
  • Publisher: Wiley; 1 edition (March 29, 2004)
  • Language: English
  • ISBN-10: 0471465992
  • ISBN-13: 978-0471465997
  • Product Dimensions: 9.3 x 6.4 x 1.7 inches
  • Shipping Weight: 2.4 pounds (View shipping rates and policies)
  • Average Customer Review: 2.7 out of 5 stars  See all reviews (3 customer reviews)
  • Amazon Best Sellers Rank: #1,297,592 in Books (See Top 100 in Books)

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Average Customer Review
2.7 out of 5 stars (3 customer reviews)
 
 
 
 
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Most Helpful Customer Reviews

7 of 7 people found the following review helpful:
5.0 out of 5 stars A quick way to refresh your math for quant interview, April 29, 2007
By 
This review is from: The Mathematics of Financial Modeling and Investment Management (Frank J. Fabozzi Series) (Hardcover)
Got this book to prepare for my interview. It is a nice book that covers all the topics. It's not for beginners. It's good for people who learned the topics before and just need a complete refresh of memory in a short period of time.
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7 of 9 people found the following review helpful:
1.0 out of 5 stars A dictionary, January 11, 2007
By 
Raymundo J. S. Torres (Salvador da Bahia, Bahia Brazil) - See all my reviews
(REAL NAME)   
This review is from: The Mathematics of Financial Modeling and Investment Management (Frank J. Fabozzi Series) (Hardcover)
This book looks like a dictionary: thousands of entries and few words to explain them...
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3 of 9 people found the following review helpful:
2.0 out of 5 stars Too bad!, February 25, 2007
By 
R. Wang (Manhattan, NY USA) - See all my reviews
(REAL NAME)   
This review is from: The Mathematics of Financial Modeling and Investment Management (Frank J. Fabozzi Series) (Hardcover)
This book's printing quality is unusually terrible and the contents are also difficulty to read.
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Inside This Book (learn more)
First Sentence:
It is often said that investment management is an art, not a science. Read the first page
Key Phrases - Statistically Improbable Phrases (SIPs): (learn more)
total excess risk, equity price processes, theoretical futures price, convolution closure property, multifactor risk model, enhanced index portfolio, total excess return, log price processes, arithmetic random walk, subexponential distributions, difference stationary series, classifying stocks, dynamic cointegration, basket default swap, multistage stochastic optimization, spot rate curve, style classification system, true market portfolio, cointegrated models, subordinated models, pure expectations theory, trend stationary series, tangency portfolio, risk decomposition, infinite moving average representation
Key Phrases - Capitalized Phrases (CAPs): (learn more)
New York, John Wiley, United States, Francis Gupta, Lehman Brothers, Fischer Black, Applying Mean-Variance, Fabozzi Associates, New Hope, Darrell Duffie, Extreme Value Theory, Raman Vardharaj, Aggregate Index, Cambridge University Press, Lev Dynkin, Multi-Factor Risk Models, Journal of Business, Journal of Financial Economics, Stephen Ross, Computer Hardware, Computer Software, Fixed Income Portfolio Management, Jay Hyman, John Lintner, Journal of Portfolio Management
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