
Investment Mathematics and Statistics
Graham & Trotman Ltd (Publisher)
Published on 31. October 1993
Book
Paperback/Softback
480 pages
978-1-85333-937-0 (ISBN)
Description
The book provides a basis for understanding investment mathemaics and statistics, together with more advanced applications in investment analysis. A special feature is the large number of worked examples illustrating the theoretical concepts discussed.
More details
Edition
1993 ed.
Language
English
Place of publication
Dordrecht
Netherlands
Target group
Professional and scholarly
Research
Illustrations
480 p.
Dimensions
Height: 235 mm
Width: 155 mm
Thickness: 23 mm
Weight
639 gr
ISBN-13
978-1-85333-937-0 (9781853339370)
Schweitzer Classification
Other editions
Additional editions
A. Adams | P.M. Booth | D. Bloomfield
Investment Mathematics and Statistics
Book
10/1993
Graham & Trotman Ltd
€100.90
Article exhausted; check different version
Content
Part 1: Investment Mathematics. 1. Compound Interest. 2. Fixed-Interest Bonds. 3. Equities and Real Estate. 4. Real Returns. 5. Index-Linked Bonds. 6. Foreign Currency Investments. 7. Numerical Approximation Techniques. Part 2: Statistics. 8. Data Collection and Presentation. 9. Descriptive Statistics. 10. Probability. 11. Some Particular Probability Distributions. 12. Confidence Intervals and Hypothesis Testing. 13. Correlation and Regression. Part 3: More Advanced Applications. 14. Portfolio Theory. 15. Market Indices and Performance Measurement. 16. Bond Portfolio Management. 17. Bond Switching. 18. Curve Fitting. 19. Theoretical Pricing of Futures and Forwards. 20. Theoretical Pricing of Options. 21. Stochastic Approach to the Theory of Interest.