An edition of Probability and finance theory (2011)

Probability and Finance Theory

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Probability and Finance Theory
Kian Guan Lim, Kian Guan Lim
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August 17, 2023 | History
An edition of Probability and finance theory (2011)

Probability and Finance Theory

  • 1 Want to read

This book provides a basic grounding in the use of probability to model random financial phenomena of uncertainty, and is targeted at an advanced undergraduate and graduate level. It should appeal to finance students looking for a firm theoretical guide to the deep end of derivatives and investments. Bankers and finance professionals in the fields of investments, derivatives, and risk management should also find the book useful in bringing probability and finance together.The book contains applications of both discrete time theory and continuous time mathematics, and is extensive in scope. Distribution theory, conditional probability, and conditional expectation are covered comprehensively, and applications to modeling state space securities under market equilibrium are made. Martingale is studied, leading to consideration of equivalent martingale measures, fundamental theorems of asset pricing, change of numeraire and discounting, risk-adjusted and forward-neutral measures, minimal and maximal prices of contingent claims, Markovian models, and the existence of martingale measures preserving the Markov property. Discrete stochastic calculus and multiperiod models leading to no-arbitrage pricing of contingent claims are also to be found in this book, as well as the theory of Markov Chains and appropriate applications in credit modeling. Measure-theoretic probability, moments, characteristic functions, inequalities, and central limit theorems are examined. The theory of risk aversion and utility, and ideas of risk premia are considered. Other application topics include optimal consumption and investment problems and interest rate theory.

Publish Date
Language
English

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Edition Availability
Cover of: Probability and finance theory
Probability and finance theory
2015, World Scientific
Hardcover in English - Second Edition.
Cover of: Probability and Finance Theory
Probability and Finance Theory
2015, World Scientific Publishing Co Pte Ltd
in English
Cover of: Probability and finance theory
Probability and finance theory
2011, World Scientific
in English

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Book Details


The Physical Object

Pagination
536

ID Numbers

Open Library
OL49286455M
ISBN 13
9789814641951

Source records

Better World Books record

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August 17, 2023 Created by ImportBot Imported from Better World Books record