Author: Shreve, Steven
Price: $41.38
Category:Economics
Publication Date:2010-12-01T00:00:01Z
Pages:569
Binding:Paperback
ISBN:10:144192311X
ISBN:13:
"A wonderful display of the use of mathematical probability to derive a large set of results from a small set of assumptions. In summary, this is a well-written text that treats the key classical models of finance through an applied probability approach....It should serve as an excellent introduction for anyone studying the mathematics of the classical theory of finance." --SIAM