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1.1.4 Issue 4: How to Evaluate Financial Derivatives. 9. 1.1.5 The Monte Carlo Simulation Algorithm. 11. 1.2 Simulation of Random Variables. 11. 1.2.1 Uniform .
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We use a case study based around the binomial method for valuing financial options. This gives a The programs can be downloaded from mial method requires material from financial modeling, mathematical analysis, and [5] J. C. Hull, Options, Futures, & Other Derivatives, 4th ed., Prentice–Hall, Englewood Cliffs,.
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