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Mastering Mathematical Finance

The Mastering Mathematical Finance book series by multiple authors includes books The Black Scholes Model, Portfolio Theory and Risk Management, Numerical Methods in Finance with C++, and several more. See the complete Mastering Mathematical Finance series book list in order, box sets or omnibus editions, and companion titles.
8 Books
The Black Scholes Model - Book  of the Mastering Mathematical Finance

The Black Scholes Model

Marek J. Capinski, Ekkehard Kopp, Marek Capiński, Marek Capianski
From $46.99
Portfolio Theory and Risk Management - Book  of the Mastering Mathematical Finance

Portfolio Theory and Risk Management

Maciej J. Capiński, Ekkehard Kopp
From $46.99
Numerical Methods in Finance with C++ - Book  of the Mastering Mathematical Finance

Numerical Methods in Finance with C++

Maciej J. Capinski, Tomasz J. Zastawniak, Maciej J. Capiński
From $18.09
Discrete Models of Financial Markets - Book  of the Mastering Mathematical Finance

Discrete Models of Financial Markets

Marek J. Capinski, Ekkehard Kopp, Marek Capiński
From $46.99
Stochastic Interest Rates - Book  of the Mastering Mathematical Finance

Stochastic Interest Rates

Daragh McInerney, Tomasz Zastawniak
From $90.00
Probability for Finance - Book  of the Mastering Mathematical Finance

Probability for Finance

Ekkehard Kopp, Jan Malczak, Tomasz Zastawniak, Tomasz J. Zastawniak
From $46.99
Credit Risk - Book  of the Mastering Mathematical Finance

Credit Risk

Tomasz Zastawniak, Marek Capiński
From $46.99
Stochastic Calculus for Finance - Book  of the Mastering Mathematical Finance

Stochastic Calculus for Finance

Marek J. Capinski, Janusz Traple, Ekkehard Kopp, Marek Capiński
From $46.99
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