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Abstract

</figure><p id="696a">We begin our discussion of Math in Finance with Random Variables. We’ll talk about random variables, various probability distributions and how certain financial data series can be closely approximated by certain probability distributions.</p> <figure id="6abb"> <div> <div>
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gist-iframe" src="/gist/chandinijain/f67a11aa4a625e6a5eaa624022593568.js" allowfullscreen="" frameborder="0" height="undefined" width="undefined"> </div> </div> </figure></iframe></div></div></figure><p id="a3cc"><i>Originally published at <a href="http://auquan.com/random-variables/">auquan.com</a> on March 27, 2017.</i></p></article></body>

Random Variables

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Normal distributions with varying standard deviation

We begin our discussion of Math in Finance with Random Variables. We’ll talk about random variables, various probability distributions and how certain financial data series can be closely approximated by certain probability distributions.

Originally published at auquan.com on March 27, 2017.

Finance
Trading
Mathematics
Math
Learning
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