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Computational Financial Mathematics using MATHEMATICA (R)

Optimal Trading in Stocks and Options

Jezik AngleščinaAngleščina
Knjiga Trda
Knjiga Computational Financial Mathematics using MATHEMATICA (R) Srdjan Stojanovic
Koda Libristo: 04461018
Založba Birkhauser Boston Inc, oktober 2002
Given the explosion of interest in mathematical methods for solving problems in finance and trading,... Celoten opis
? points 231 b
95.70
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JE LIS JE COMPLET AUTOC GERMAI Jean-Marc Daume / Knjiga Mehka
common.buy 5.66
Dojrzewanie Percepcji Wzrokowo-Ruchowej Yony Abelardo Quispe Mamani / Knjiga Mehka
common.buy 33.62

Given the explosion of interest in mathematical methods for solving problems in finance and trading, a great deal of research and development is taking place in universities, large brokerage firms, and in the supporting trading software industry. Mathematical advances have been made both analytically and numerically in finding practical solutions. §This book provides a comprehensive overview of existing and original material, about what mathematics when allied with Mathematica can do for finance. Sophisticated theories are presented systematically in a user-friendly style, and a powerful combination of mathematical rigor and Mathematica programming. Three kinds of solution methods are emphasized: symbolic, numerical, and Monte-- Carlo. Nowadays, only good personal computers are required to handle the symbolic and numerical methods that are developed in this book. §Key features: No previous knowledge of Mathematica programming is required The symbolic, numeric, data management and graphic capabilities of Mathematica are fully utilized Monte--Carlo solutions of scalar and multivariable SDEs are developed and utilized heavily in discussing trading issues such as Black--Scholes hedging Black--Scholes and Dupire PDEs are solved symbolically and numerically Fast numerical solutions to free boundary problems with details of their Mathematica realizations are provided Comprehensive study of optimal portfolio diversification, including an original theory of optimal portfolio hedging under non-Log-Normal asset price dynamics is presented §The book is designed for the academic community of instructors and students, and most importantly, will meet the everyday trading needs of quantitatively inclined professional and individual investors.This book provides a beautiful overview of what mathematics and Mathematica can do for finance. Sophisticated theories are presented in a rigorous but user-friendly, practical style, which, with the programming capabilities of Mathematica, help the reader develop good intuition in real trading. §Key features: §quick introduction to Mathematica provided;§minimal prerequisites: good understanding of calculus and some differential equations;§a highly original presentation of optimal portfolio diversification;§supplementary Mathematica files available for download at §The book is designed for instructors and students, and most importantly, will meet the everyday trading needs of the professional---the analytically inclined individual investor who wants to solve various problems encountered when investing and trading in stocks and stock options.

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