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单词 Mathematical finance
释义

Mathematical finance

中文百科

金融数学

金融数学又称计量金融学数学金融学,是专为金融市场而设的一门应用数学。计量金融本义上与金融经济学的范畴有密切的关系,然而前者所涉及的领域比较狭隘,理念也比后者抽象。一般而言,若金融经济学家研究一所企业当前股价的结构性原因,计量金融学家所做的便是利用当前股价作参考,以金融数学理论为基础去计算并取得相关衍生工具的公平价格(应值价格),以及风险估算。

英语百科

Mathematical finance 金融数学

Mathematical finance, also known as quantitative finance, is a field of applied mathematics, concerned with financial markets. Generally, mathematical finance will derive and extend the mathematical or numerical models without necessarily establishing a link to financial theory, taking observed market prices as input. Mathematical consistency is required, not compatibility with economic theory. Thus, for example, while a financial economist might study the structural reasons why a company may have a certain share price, a financial mathematician may take the share price as a given, and attempt to use stochastic calculus to obtain the corresponding value of derivatives of the stock (see: Valuation of options; Financial modeling). The fundamental theorem of arbitrage-free pricing is one of the key theorems in mathematical finance, while the Black–Scholes equation and formula are amongst the key results.

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更新时间:2025/6/20 8:43:11