El libro está agotado actualmente

Valoración del libro
4,0
(1)
Parámetros
- 84 páginas
- 3 horas de lectura
Más información sobre el libro
Focusing on the historical evolution of Normal Distribution in finance, this study examines existing models and suggests improvements in light of technological advancements. It provides a thorough review of the Normal Curve's initial applications and includes a case study of the IBOVESPA over two decades, revealing distributions that deviate from the expected Normal Distribution. The book emphasizes the need for updated assumptions in financial mathematical modeling.
Compra de libros
Mathematical models in finance, Emerson Tadeu Gonçalves Rici
- Idioma
- Publicado en
- 2023
- product-detail.submit-box.info.binding
- (Tapa blanda)
Te avisaremos por correo electrónico en cuanto lo localicemos.
Métodos de pago
Nos falta tu reseña aquí