Financial Math

In this section, topics regarding how is math employed in finance will be covered. What is correlation and why it matters to investors or how risk and return are related are questions that will be answered in this part.

This section will be divided in two separated parts. The first one will cover topics related with risk and portfolio management. The second one will cover topics related with derivative pricing. This two sections are designed to show investors how math affects decisions being made by professional investors.

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