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Monte Carlo Simulation with Applications to Finance

Monte Carlo Simulation with Applications to Finance

by Hui Wang
Hardback
Publication Date: 22/05/2012

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Exploring the use of Monte Carlo simulation in finance, this text reviews the essential mathematics and presents simple financial models. Beginning with the basics of Monte Carlo, the author gradually introduces advanced variance reduction techniques, covering such topics as importance sampling and stratified sampling. He also discusses numerical approximation, option pricing, and sensitivity analysis. The text presents diffusion techniques for diffusion models, American options, and sensitivity analysis. It also contains various types of exercises, progressive MATLAB(R)-based coding assignments, and computational projects.
ISBN:
9781439858240
9781439858240
Category:
Finance & accounting
Format:
Hardback
Publication Date:
22-05-2012
Language:
English
Publisher:
Taylor & Francis Inc
Country of origin:
United States
Pages:
292
Dimensions (mm):
234x156x18mm
Weight:
0.57kg

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