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泊松分布在金融领域的应用
Random (Poisson distribution) in the field of financial applications【Abstract】 mathematical finance as a subject. Using a great deal of teaching theory and method study and solve major theories in financial issues, practical problems, and some, such as the pricing of financial innovation. Due to financial problems the complexity of the mathematical knowledge, in addition to the base of knowledge, there are plenty of theories and methods of modern mathematics. In this article we introduce the volume fluctuations in stock price model. Application of Poisson process theory describes the volatility of stock prices, and based on option pricing theory, European call option pricing formula is derived. In the course of financial investment, investors typically shy away from risks, and control the risks in the first place, so we further risk aversion in the market of European call options price range. In order to give investors a more specific reference.【Key words】 stochastic process of compound Poisson process shares traded options pricing?Along with rapid economic development, a variety of financial tools continue to produce. The correct valuation of financial instruments is a necessary condition for effective management of risk, we used the prices of securities described in geometric Brownian motion process is continuous. With fair prices and financial instruments is that they are reasonable and the key. Mathematical finance is 20 centuries later developed a new cross discipline. It is observed with a unique way to meet financial problems, which combine mathematical tools and financial problems. Provide a basis for creative research, solving financial problems and guidance. Through mathematics built die, and theory analysis, and theory is derived, and numerical calculation, quantitative analysis, research and analysis financial trading in the of various problem, to precise to description out financial trading process in the of some behavior and may of results, while resea
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