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Methods of Mathematical Finance Book

Methods of Mathematical Finance
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Methods of Mathematical Finance, This book should be of interest to researchers wishing to see advanced mathematics applied to finance. The material on optimal consumption and investment, leading to equilibrium, is addressed to the theoretical finance community. The chapters on contingen, Methods of Mathematical Finance
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  • Methods of Mathematical Finance
  • Written by author Karatzas, Ioannis, Shreve, Steven E
  • Published by Springer-Verlag New York, LLC, 12/1/2010
  • This book should be of interest to researchers wishing to see advanced mathematics applied to finance. The material on optimal consumption and investment, leading to equilibrium, is addressed to the theoretical finance community. The chapters on contingen
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Authors

Preface
1 A Brownian Model of Financial Markets 1
2 Contingent Claim Valuation in a Complete Market 36
3 Single-Agent Consumption and Investment 88
4 Equilibrium in a Complete Market 159
5 Contingent Claims in Incomplete Markets 199
6 Constrained Consumption and Investment 260
App. A Essential Supremum of a Family of Random Variables 323
App. B On the Model of Section 1.1 327
App. C On Theorem 6.4.1 335
App. D Optimal Stopping for Continuous-Parameter Processes 349
App. E The Clark Formula 363
References 371
Index 403


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Methods of Mathematical Finance, This book should be of interest to researchers wishing to see advanced mathematics applied to finance. The material on optimal consumption and investment, leading to equilibrium, is addressed to the theoretical finance community. The chapters on contingen, Methods of Mathematical Finance

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Methods of Mathematical Finance, This book should be of interest to researchers wishing to see advanced mathematics applied to finance. The material on optimal consumption and investment, leading to equilibrium, is addressed to the theoretical finance community. The chapters on contingen, Methods of Mathematical Finance

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Methods of Mathematical Finance, This book should be of interest to researchers wishing to see advanced mathematics applied to finance. The material on optimal consumption and investment, leading to equilibrium, is addressed to the theoretical finance community. The chapters on contingen, Methods of Mathematical Finance

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