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"It is an innovative approach and is very useful for students and practitioners in finance to learn how to use mathematics for investment analysis." -Mathematical Reviews
"This book is a state-of-the-art introduction to the mathematics of computational finance. The author reviews and extends several recent breakthroughs and also provides new material, which is highly recommended. The novel use of Mathematica enhances the learning experience by letting the reader focus on the essential ideas. I thoroughly recommend this book to both students and practitioners." -Peter Carr, Courant Institute, New York University