Modeling a financial market
Mathematical Finance : Asset Pricing

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Modeling a financial market


Mathematical Finance : Asset Pricing

Author : Emmanuel LÉPINETTE

Publication date: February 10, 2022, Review date: December 22, 2023 | Lire en français

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1. Modeling a financial market

The natural framework is to consider a probabilized space in order to take into account the hazards and uncertainty observed on financial markets. We therefore consider a ΩØ whose elements ω are the possible future market states between t = 0 (today) and a future horizon, say a date T > 0. It is clearly impossible to simply describe a state ωΩ future of the market. Such a state represents everything that will happen between t = 0 and t =...

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