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Mastering Mathematical Finance

A series of short books that cover all the core topics and the most common electives offered in master's programs in mathematical/quantitative finance. The books are closely coordinated but each self-contained, so that they can be used efficiently in combination but also individually.

General Editors: Marek Capi?ski, University of Science and Technology, Krakow; Ekkehard Kopp, University of Hull; Tomasz Zastawniak, University of York

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