The first book to combine the latest discussion on financial market
theory with precision mathematics and how practical results influence
research, Financial Markets Theory, addresses the need for a book like
this to accompany the most popular related titles. Using simple maths
and an introductory background to the economics required, anyone
studying or working in financial markets should have a copy of this
book. It covers all the key topics with exercises and examples that make
it ideal for self-study or as an advanced graduate textbook, but it
includes so much recent research that it is also a vital handbook for
practitioners working in banks, insurance, investment funds and
financial consultancy.