Applied problems of financial mathematics (122 – cs)

Type: For the student's choice

Department: information systems

Curriculum

SemesterCreditsReporting
113Setoff

Lectures

SemesterAmount of hoursLecturerGroup(s)
1116V. V. StelmashchukPMi-61m, PMi-62m, PMi-63m

Laboratory works

SemesterAmount of hoursGroupTeacher(s)
1116PMi-61mV. V. Stelmashchuk
PMi-62mV. V. Stelmashchuk
PMi-63mV. V. Stelmashchuk

Recommended Literature

  • Ruppert D. Statistics and Finance. An Introduction / D. Ruppert. – New York: Springer, 2004. – 496p.
  • Peleg D. Fundamental Models in Financial Theory / D. Peleg. – Cambridge: The MIT Press, 2014. – 496p.
  • Weiming J.M. Mastering Python for Finance / J.M. Weiming. – Birmingham: Packt Publishing, 2015. – 340p.
  • Gaurita M. Applied Quantitative Finance. Using Python for Financial Analysis / M. Gaurita. – Palgrave Pivot, 2021. – 266p.
  • Yan Y. Python for Finance. Financial modeling and quantitative analysis explained. Second Edition / Y. Yan. –  Packt Publishing, 2017. – 586p.

Силабус: Applied problems of financial mathematics

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