Monte Carlo Simulation with Applications to Finance - Hui Wang - Livros - Taylor & Francis Inc - 9781439858240 - 22 de maio de 2012
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Monte Carlo Simulation with Applications to Finance 1º edição

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Developed from the author?s course on Monte Carlo simulation at Brown University, Monte Carlo Simulation with Applications to Finance provides a self-contained introduction to Monte Carlo methods in financial engineering. It is suitable for advanced undergraduate and graduate students taking a one-semester course or for practitioners in the financial industry.





The author first presents the necessary mathematical tools for simulation, arbitrary free option pricing, and the basic implementation of Monte Carlo schemes. He then describes variance reduction techniques, including control variates, stratification, conditioning, importance sampling, and cross-entropy. The text concludes with stochastic calculus and the simulation of diffusion processes.





Only requiring some familiarity with probability and statistics, the book keeps much of the mathematics at an informal level and avoids technical measure-theoretic jargon to provide a practical understanding of the basics. It includes a large number of examples as well as MATLAB® coding exercises that are designed in a progressive manner so that no prior experience with MATLAB is needed.


292 pages, 22 black & white illustrations, 47 black & white tables

Mídia Livros     Hardcover Book   (Livro com lombada e capa dura)
Lançado 22 de maio de 2012
ISBN13 9781439858240
Editoras Taylor & Francis Inc
Páginas 292
Dimensões 154 × 241 × 24 mm   ·   572 g
Idioma Inglês  
Editor Wang, Hui

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