Monday, 14 January 2013

MatLab and Optimization - Financial Modeling and Analysis


Financial Modeling and Analysis

Optimize portfolios, conduct risk assessment,
and perform equity and fixed-income
research. Analyze data and create forecasts,
run Monte Carlo simulations, calculate
prices, determine cash flows, and perform
other financial analyses. Develop new
financial algorithms, and automatically
create the components to integrate new
models into your existing systems, including
C, C++, Visual Basic®, and Excel.

No comments:

Post a Comment