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Mathematical models in finance

Historical Evolution and Empirical Tests

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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.

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Mathematical models in finance, Emerson Tadeu Gonçalves Rici

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Erscheinungsdatum
2023
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