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Modelling financial derivatives with Mathematica

Shaw, WT; (1998) Modelling financial derivatives with Mathematica. [Book]. Cambridge Univ Pr

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Abstract

The idea behind this book is to use Mathematica® to provide a wide range of exact benchmark models against which inexact models can be tested and verified.

Type: Book
Title: Modelling financial derivatives with Mathematica
ISBN: 052159233X
ISBN-13: 9780521592338
Keywords: Business & Economics
UCL classification: UCL > School of BEAMS
UCL > School of BEAMS > Faculty of Maths and Physical Sciences
URI: http://discovery.ucl.ac.uk/id/eprint/647207
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