Finance Mathematics Yuliya

Methods and Finance: A Unifying View on Finance, Mathematics and Philosophy  eBooks & eLearning

Posted by arundhati at Jan. 28, 2017
Methods and Finance: A Unifying View on Finance, Mathematics and Philosophy

Emiliano Ippoliti, Ping Chen, "Methods and Finance: A Unifying View on Finance, Mathematics and Philosophy"
2017 | ISBN-10: 3319498711 | 194 pages | PDF | 5 MB
Complex and Chaotic Nonlinear Dynamics: Advances in Economics and Finance, Mathematics and Statistics [Repost]

Thierry Vialar - Complex and Chaotic Nonlinear Dynamics: Advances in Economics and Finance, Mathematics and Statistics
Published: 2009-05-11 | ISBN: 3540859772 | PDF | 752 pages | 24 MB
Complex and Chaotic Nonlinear Dynamics: Advances in Economics and Finance, Mathematics and Statistics (repost)

Thierry Vialar, Alain Goergen, "Complex and Chaotic Nonlinear Dynamics: Advances in Economics and Finance, Mathematics and Statistics"
2009 | ISBN-10: 3540859772 | 760 pages | PDF | 32 MB
The Concepts and Practice of Mathematical Finance (Mathematics, Finance and Risk) (repost)

The Concepts and Practice of Mathematical Finance (Mathematics, Finance and Risk) by Mark S. Joshi
English | 2008 | ISBN: 0521514088 | 538 pages | PDF | 6,6 MB

An ideal introduction for those starting out as practitioners of mathematical finance, this book provides a clear understanding of the intuition behind derivatives pricing, how models are implemented, and how they are used and adapted in practice. Strengths and weaknesses of different models, e.g. Black-Scholes, stochastic volatility, jump-diffusion and variance gamma, are examined.

Financial Mathematics  eBooks & eLearning

Posted by roxul at May 22, 2016
Financial Mathematics

Yuliya Mishura, "Financial Mathematics"
English | ISBN: 1785480464 | 2016 | 194 pages | PDF | 2 MB
Theory of Stochastic Processes: With Applications to Financial Mathematics and Risk Theory [Repost]

Dmytro Gusak, Alexander Kukush, Alexey Kulik, Yuliya Mishura, Andrey Pilipenko - Theory of Stochastic Processes: With Applications to Financial Mathematics and Risk Theory
Published: 2009-12-03 | ISBN: 0387878610 | PDF | 376 pages | 3 MB

Green Infrastructure Finance: Framework Report (World Bank Studies)  eBooks & eLearning

Posted by lengen at Feb. 21, 2017
Green Infrastructure Finance: Framework Report (World Bank Studies)

Green Infrastructure Finance: Framework Report (World Bank Studies) by The World Bank
English | June 6, 2012 | ISBN: 0821395270 | 76 Pages | PDF | 4 MB

This report builds on the conclusions of the Green Infrastructure Finance: Leading Initiatives and Research report and lays out a simple and elegant way in which scarce public financing can leverage market interest in ‘greening’ infrastructure, particularly in the East Asia and Pacific Region. The framework introduced in the report bridges ideas and concepts between environmental economics and project finance practices and consists largely of an analytical methodology for determining the financial viability gap of low-emission projects and an approach for assessing and strengthening the green investment climate in a given country environment.
Global Financial Development Report 2013: Rethinking the Role of the State in Finance

Global Financial Development Report 2013: Rethinking the Role of the State in Finance by World Bank
English | Sep. 17, 2012 | ISBN: 0821395033 | 220 Pages | PDF | 7 MB

Global Financial Development Report 2013 is the first in a new World Bank series. It provides a unique contribution to financial sector policy debates, building on novel data, surveys, research, and wide-ranging country experience, with emphasis on emerging-market and developing economies.

Global Development Finance 2012: External Debt of Developing Countries  eBooks & eLearning

Posted by lengen at Feb. 21, 2017
Global Development Finance 2012: External Debt of Developing Countries

Global Development Finance 2012: External Debt of Developing Countries by World Bank
English | Dec. 14, 2011 | ISBN: 0821389971 | 348 Pages | PDF | 7 MB

Global Development Finance 2012: External Debt of Developing Countries is a continuation of the World Bank’s publications Global Development Finance, Volume II (1997 through 2009) and the earlier World Debt Tables (1973 through 1996). As in previous years, GDF 2012 provides statistical tables showing the external debt of 129 developing countries that report public and publicly guaranteed external debt to the World Bank’s Debtor Reporting System (DRS). It also includes tables of key debt ratios for individual reporting countries and the composition of external debt stocks and flows for individual reporting countries and regional and income groups along with some graphical presentations.

The Handbook of International Trade and Finance, 4th Edition  eBooks & eLearning

Posted by arundhati at Feb. 21, 2017
The Handbook of International Trade and Finance, 4th Edition

Anders Grath, "The Handbook of International Trade and Finance: The Complete Guide for International Sales, Finance, Shipping and Administration, 4th Edition"
2016 | ISBN-10: 0749475986 | 264 pages | PDF | 3 MB