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Browse Financial Mathematics Titles:

MATLAB with Applications to Engineering, Physics and Finance
Master the tools of MATLAB through hands-on examples
Shows How to Solve Math Problems Using MATLAB
The mathematical software MATLAB® integrates computation, visualization, and programming to…
read moreOctober 2009 | Hardback: 978-1-4398-0697-5 (CRC Press)
more information about MATLAB with Applications to Engineering, Physics and Finance

Applied Game Theory and Strategic Behavior
Useful Tools to Help Solve Decision Making Problems
Applied Game Theory and Strategic Behavior demonstrates the use of various game theory techniques to address practical business,…
read moreJuly 2009 | Hardback: 978-1-58488-843-7 (Chapman and Hall)
more information about Applied Game Theory and Strategic Behavior

Emerging Markets
Performance, Analysis and Innovation
Although emerging market economies consist of 50% of the global population, they are relatively unknown. Filling this knowledge gap, Emerging Markets: Performance, Analysis and Innovation…
read moreJune 2009 | Hardback: 978-1-4398-0448-3 (CRC Press)

Unravelling the Credit Crunch
Fascinating Insight into How the Financial System Works and How the Credit Crisis Arose
Clearly supplies details vital to understanding the crisis
Unravelling the Credit…
read moreJune 2009 | Paperback: 978-1-4398-0258-8 (Chapman and Hall)

Decision Options
The Art and Science of Making Decisions
Although uncertainty and flexibility are important attributes that drive the value of an investment, they are seldom systematically considered in traditional financial analysis. Through theory…
read moreJune 2009 | Hardback: 978-1-4200-8682-9 (Chapman and Hall)

Interest Rate Modeling
Theory and Practice
Achieve a Thorough Understanding of Interest Rate Models
Containing many results that are new or exist only in recent research articles, Interest Rate Modeling: Theory and…
read moreMay 2009 | Hardback: 978-1-4200-9056-7 (Chapman and Hall)

Introduction to Financial Models for Management and Planning
A properly structured financial model can provide decision makers with a powerful planning tool that helps them identify the consequences of their decisions before they…
read moreApril 2009 | Hardback: 978-1-4200-9054-3 (Chapman and Hall)
more information about Introduction to Financial Models for Management and Planning

Stock Market Volatility
Up-to-Date Research Sheds New Light on This Area
Taking into account the ongoing worldwide financial crisis, Stock Market Volatility provides insight to better understand volatility…
read moreApril 2009 | Hardback: 978-1-4200-9954-6 (Chapman and Hall)

Quantitative Fund Management
The First Collection That Covers This Field at the Dynamic Strategic and One-Period Tactical LevelsAddressing the imbalance between research and practice, Quantitative Fund Management…
read more2008 | Hardback: 978-1-4200-8191-6 (Chapman and Hall)
Economics and the Price Index
The price index, a pervasive long established institution for economics, is a number issued by the Statistical Office that should tell anyone the ratio of…
read more2008 | Hardback: 978-0-415-47181-7 (Routledge)
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Forthcoming Titles:
The Banking Crisis Handbook
Edited by Greg N. Gregoriou
To be published December 2nd 2009
Pension Fund Risk Management: Financial and Actuarial Modeling
Edited by Marco Micocci, Greg N. Gregoriou, Giovanni Batista Masala
To be published January 21st 2010
Stochastic Finance: A Numeraire Approach
By Jan Vecer
To be published May 15th 2010
Financial Modelling with Jump Processes, Second Edition
By Rama Cont, Peter TankovRama ContDilip B. MadanM.A.H. Dempster
To be published May 15th 2010
Quantitative Finance: An Object-Oriented Approach in C++
By Erik Schlogl
To be published June 15th 2010
Introduction to Credit Risk Modeling, Second Edition
By Christian Bluhm, Ludger Overbeck, Christoph WagnerM.A.H. DempsterDilip B. MadanRama Cont
To be published June 15th 2010
Handbook of Solvency for Actuaries and Risk Managers: Theory and Practice
By Arne Sandstrom
To be published September 26th 2010
The Fundamental Rules of Risk Management
Edited by Nigel Da Costa Lewis
To be published October 15th 2010
Financial and Actuarial Statistics: An Introduction, Second Edition
By Dale S. Borowiak, Arnold F. Shapiro
To be published November 15th 2010
