Numerical Methods in Finance: A Matlab-Based Introduction
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This book integrates the topics of numerical methods, financial problem solving, and MATLAB programming into one balanced treatment. Its tutorial approach features MATLAB examples as a means of illustrating the concepts in practical, every day financial problems. PAOLO BRANDIMARTE is Professor of Quantitative Methods for Finance and Logistics at Politecnico di Torino in Italy. PrefacexiiiPart I BackgroundFinancial problems and numerical methods3(74)MATLAB environment4(2)Why MATLAB?5(1)Fixed-income securities: analysis and portfolio immunization6(21)Basic valuation of fixed-income securities7(7)Interest rate sensitivity and bond portfolio immunization14(3)MATLAB functions to deal with fixed-…
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