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Item Details
Title: STOCHASTIC CONTROL PROBLEMS, VISCOSITY SOLUTIONS AND APPLICATION TO FINANCE
By: Nizar Touzi
Format: Paperback

List price: £15.99


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ISBN 10: 887642136X
ISBN 13: 9788876421365
Publisher: BIRKHAUSER VERLAG AG
Pub. date: 1 October, 2002
Series: Publications of the Scuola Normale Superiore
Pages: 62
Description: Prepared for the Special Research Semester on Financial Markets, which was held in Pisa, from April 29 to July 15, 2002, this title covers topics such as the Hamilton-Jacobi-Bellman approach to stochastic control problems, with applications to finance.
Synopsis: These notes have been prepared for the Special Research Semester on Financial Markets, which was held in Pisa, from April 29 to July 15, 2002. The general topics of these lectures is the Hamilton-Jacobi-Bellman approach to stochastic control problems, with applications to finance. Some of the topics treated are: the classical standard class of stochastic control problems, the assosiated dynamic programming principle, the HJB equation, the classical Merton portfolio selection problem, the law of iterated logarithm for double stochastic integrals, the theory of viscosity solutions, singular control problems, the face-lifting phenomenon.
Illustrations: 62 p.
Publication: Italy
Imprint: Scuola Normale Superiore
Returns: Returnable
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