Ekkehard Kopp

Ekkehard KoppEkkehard Kopp is Emeritus Professor of Mathematics at the University of Hull, where he taught courses at all levels in analysis, measure and probability, stochastic processes and mathematical finance between 1970 and 2007. His editorial experience inludes service as founding member of the Springer Finance series (1998-2008) and the Cambridge University Press AIMS Library series. He has authored more than 50 research publications and five books. Read More Read Less

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Probability for Finance16 %
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Stochastic Calculus for Finance16 %
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Black-Scholes Model
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Discrete Models of Financial Markets53 %
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Portfolio Theory and Risk Management43 %
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Mathematics of Financial Markets36 %
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Mathematics of Financial Markets
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Probability for Finance2 % NR
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From Measures to Itô Integrals7 % NR
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Portfolio Theory and Risk Management2 % NR
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Discrete Models of Financial Markets17 % NR
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Stochastic Calculus for Finance2 % NR
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Probability for Finance32 % NR
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From Measures to Itô Integrals2 % NR
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Portfolio Theory and Risk Management32 % NR
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Discrete Models of Financial Markets2 % NR
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