Computational Financial Mathematics Using MATHEMATICAï¿½ Optimal Trading in Stocks and Options
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Description: 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 http: //extras.springer.com/2003/978-0-8176-4197-9/.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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All the information you need in one place! Each Study Brief is a summary of one specific subject; facts, figures, and explanations to help you learn faster.
Copyright year: 2003
Publication date: 5/17/2013
Size: 6.00" wide x 9.00" long x 1.00" tall