Jan R. M. Röman
1 book
About the Author
Jan R. M. Röman is a distinguished author and expert in quantitative finance, specializing in the mathematical foundations of interest rate derivatives and risk management. With a deep understanding of financial markets and valuation techniques, he has contributed significantly to the field through his rigorous analytical approach. His work is essential reading for professionals and academics seeking to master complex financial instruments and market dynamics.
Common genres
Writing style
analytical
rigorous
precise
Books by Jan R. M. Röman
