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Stochastic Financial Models (Chapman and Hall/CRC Financial Mathematics Series) By Douglas Kennedy

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Review
[T]he author covers a number of topics which are normally not addressed in introductions to stochastic finance, and he takes a new and innovative road in the derivation of many familiar results. … the book does contain a lot of interesting material (some of it non-standard) that can enrich a lecture course and deepen the reader’s understanding of financial mathematics, so that it definitely belongs on the shelf of every serious student/teacher in the field. …
―Ruediger Frey, The American Statistician, August 2011
This book is a superb beginning level text for senior undergraduate/graduate mathematicians, which is based on lectures delivered by its author to many generations of appreciative Cambridge mathematicians. Many of my own Ph.D. and masters students have taken Dr. Kennedy’s course to uniformly good reviews; this readable book will make its material available to a worldwide audience. I have in the past struggled with some of Dr. Kennedy’s exercises, but the book contains 40 pages of fully worked out solutions to help introduce the reader to the Oxbridge style of learning by problem solving in which even supervisors are sometimes challenged.
―M.A.H. Dempster, Centre for Financial Research, Statistical Laboratory, University of Cambridge, UK
About the Author
Douglas Kennedy is a Fellow of Trinity College in Cambridge, UK.
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