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文件名称:StockPaths
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股票指数模拟为几何布朗运动,GBM。 参数有五个:
s0,dt(time step),均值,标准差,到期时间T;
利用子函数进行10万条轨道的monte carlo 模拟到期日(3个月)的指数点数,从而估计在买入信号出现后,3个月后的损益情况,主要用来估算VAR-Financial risk analysis on Matlab monte carlo simulation, stock index simulation for geometric Brownian motion, GBM.
(系统自动生成,下载前可以参看下载内容)
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StockPaths.m
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