An edition of Optimization Methods in Finance (2006)

Optimization Methods in Finance

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Last edited by ImportBot
November 19, 2022 | History
An edition of Optimization Methods in Finance (2006)

Optimization Methods in Finance

Optimization models play an increasingly important role in financial decisions. This is the first textbook devoted to explaining how recent advances in optimization models, methods and software can be applied to solve problems in computational finance more efficiently and accurately. Chapters discussing the theory and efficient solution methods for all major classes of optimization problems alternate with chapters illustrating their use in modeling problems of mathematical finance. The reader is guided through topics such as volatility estimation, portfolio optimization problems and constructing an index fund, using techniques such as nonlinear optimization models, quadratic programming formulations and integer programming models respectively. The book is based on Master's courses in financial engineering and comes with worked examples, exercises and case studies. It will be welcomed by applied mathematicians, operational researchers and others who work in mathematical and computational finance and who are seeking a text for self-learning or for use with courses.

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Language
English

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Cover of: Optimization Methods in Finance
Optimization Methods in Finance
2006, Cambridge University Press
eBook in English

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Book Details


The Physical Object

Format
eBook

Edition Identifiers

Open Library
OL24306409M
ISBN 13
9780511258183
OCLC/WorldCat
123561208
OverDrive
EFE5DE36-2D56-4BF3-805E-3C7427DAF473

Work Identifiers

Work ID
OL15174668W

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Download catalog record: RDF / JSON / OPDS | Wikipedia citation
November 19, 2022 Edited by ImportBot import existing book
April 26, 2011 Edited by OCLC Bot Added OCLC numbers.
June 30, 2010 Edited by ImportBot Added new cover
June 30, 2010 Created by ImportBot Imported from marc_overdrive MARC record