期貨、選擇權與其他金融商品



Lectures

19.Basic Numerical Procedures 柯婷瑱
19-3.Finite Difference Method 林威辰
20.VaR part 1 陳竑廷
21.Estimating Volatilities and Correlations 劉育廷
21 Estimating Volatilities and Correlations (GARCH) 蘇柏屹
22.Credit Risk part 1 陳竑廷
22.Credit Risk-part2 柯婷瑱
   
Supplemental Information
Cholesky Decomposition 洪敏誠
How does Microsoft Excel solver deal with nonlinear problems – A simple example 劉亮志