Mathematics of the Bond Market : A Levy Processes Approach
Book Details
Format
Hardback or Cased Book
Book Series
Encyclopedia of Mathematics and its Applications
ISBN-10
1107101298
ISBN-13
9781107101296
Publisher
Cambridge University Press
Imprint
Cambridge University Press
Country of Manufacture
US
Country of Publication
GB
Publication Date
Apr 23rd, 2020
Print length
398 Pages
Weight
728 grams
Dimensions
16.30 x 24.00 x 2.90 cms
Product Classification:
FinanceProbability & statistics
AI Summary
Ksh 25,400.00
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This book concerns stochastic models of the bond market in which randomness is generated by Lévy processes. It presents key results on arbitrage and completeness of the bond markets using the tools of stochastic analysis and stochastic PDEs. It offers many attractive mathematical problems.
Mathematical models of bond markets are of interest to researchers working in applied mathematics, especially in mathematical finance. This book concerns bond market models in which random elements are represented by Lévy processes. These are more flexible than classical models and are well suited to describing prices quoted in a discontinuous fashion. The book''s key aims are to characterize bond markets that are free of arbitrage and to analyze their completeness. Nonlinear stochastic partial differential equations (SPDEs) are an important tool in the analysis. The authors begin with a relatively elementary analysis in discrete time, suitable for readers who are not familiar with finance or continuous time stochastic analysis. The book should be of interest to mathematicians, in particular to probabilists, who wish to learn the theory of the bond market and to be exposed to attractive open mathematical problems.
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