Modelling Financial Derivatives with Mathematica by William T. Shaw

Modelling Financial Derivatives with Mathematica

William T. Shaw

537 pages first pub 1998 (view editions)

nonfiction reference challenging informative medium-paced
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One of the most important tasks in finance is to find good mathematical models for financial products, in particular derivatives. However, the more realistic the model, the more practitioners face still-unsolved problems in rigorous mathematics an...

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