Financial Mathematics of Securities

Financial Mathematics of Securities

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LF/92776389/R
Russian
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Ulyanovsk: Ulyanovsk State Technical University (UlSTU), 2011. 88 s. This textbook deals with the issues of the section "Financial Mathematics of Securities" of the academic discipline "Financial Mathematics" ; section "Instrumental methods, calculations and models in financial management" of the academic discipline "Financial Management" ; Sections "Fundamentals of the securities market" and "Secondary securities market" of the academic discipline "Securities Market" . The manual reveals some modern tools, methods and models of financial mathematics, which are widely used in the practice of the Russian stock market. Particular attention is paid to the calculation of the price and profitability of government and corporate bonds, shares and derivatives. The manual presents in an accessible form the methods for calculating the most important financial indicators of securities necessary for making sound and effective management decisions. A detailed analysis of typical market situations characteristic of transactions with short-term and long-term debt obligations, stocks, forward and futures contracts, options. The manual is intended for use by students along with other textbooks, teaching aids and lecture material.
LF/92776389/R

Data sheet

Name of the Author
Карпухин И.В.
Никулин А.Н.
Language
Russian
ISBN
9785979508641

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Financial Mathematics of Securities

Ulyanovsk: Ulyanovsk State Technical University (UlSTU), 2011. 88 s. This textbook deals with the issues of the section "Financial Mathematics of Securities" of...

Write your review

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