Reactive Publishing
This expanded edition of Optimization & Numerical Methods in Quant Finance by Hayden Van Der Post offers a comprehensive and rigorous exploration of the mathematical and computational tools that drive modern quantitative finance. Designed for analysts, traders, and researchers, it bridges theory and practice by demonstrating how optimization methods, numerical analysis, and advanced algorithms are applied to real-world pricing, hedging, and risk management problems.
Readers will learn how to implement practical techniques for derivatives pricing, volatility modeling, Monte Carlo simulations, PDE-based approaches, and robust optimization frameworks. With new expanded sections on high-dimensional models, machine learning integration, and cutting-edge computational methods, this edition provides the depth and versatility needed to navigate increasingly complex markets.
Whether you are building models for option pricing, constructing risk-sensitive portfolios, or engineering resilient trading systems, this book delivers the advanced strategies and numerical foundations to master quantitative finance in practice.
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Paperback. Condición: new. Paperback. Reactive PublishingThis expanded edition of Optimization & Numerical Methods in Quant Finance by Hayden Van Der Post offers a comprehensive and rigorous exploration of the mathematical and computational tools that drive modern quantitative finance. Designed for analysts, traders, and researchers, it bridges theory and practice by demonstrating how optimization methods, numerical analysis, and advanced algorithms are applied to real-world pricing, hedging, and risk management problems.Readers will learn how to implement practical techniques for derivatives pricing, volatility modeling, Monte Carlo simulations, PDE-based approaches, and robust optimization frameworks. With new expanded sections on high-dimensional models, machine learning integration, and cutting-edge computational methods, this edition provides the depth and versatility needed to navigate increasingly complex markets.Whether you are building models for option pricing, constructing risk-sensitive portfolios, or engineering resilient trading systems, this book delivers the advanced strategies and numerical foundations to master quantitative finance in practice. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. Nº de ref. del artículo: 9798264449062
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