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Mathematical models in finance
Tallenna

Mathematical models in finance

pokkari, 2023
englanti
Study that addresses the historical evolution of the use of Normal Distribution in Finance, analyzes the models in use and points out opportunities for improvement given the technological advances and the need to use new assumptions in mathematical modeling for finance. This book makes a historical review of the first recorded use of Normal Curve and also presents a case study with the IBOVESPA in a period of 20 years, resulting in distributions different from the Normal, as expected.
ISBN
9786205819807
Kieli
englanti
Paino
136 grammaa
Julkaisupäivä
22.3.2023
Sivumäärä
84