搜尋
Google ClassroomGoogle Classroom
GeoGebraGeoGebra Classroom

綱要

  1. Mathematics of finance
    1. Portfolios with one risky investments
    2. Portfolios with two risky investments
    3. Two Risky and One Risk Free Investment
    4. Two Risky and One Risk Free Investment Zoomed
    5. Break Even analysis
    6. Newsvendor Problem- Normal Distribution
    7. Newsvender Problem, Uniform Distribution
    8. Security Characteristic Lines
    9. Economic Ordering Quantity
    10. Consumer Cartel
    11. Producer Cartel
    12. Linear Regression Example

Mathematics of finance

作者:Mike May
主題:數學
A book of applets for visualizing finance.

  • Portfolios with one risky investments

  • Portfolios with two risky investments

  • Two Risky and One Risk Free Investment

  • Two Risky and One Risk Free Investment Zoomed

  • Break Even analysis

  • Newsvendor Problem- Normal Distribution

  • Newsvender Problem, Uniform Distribution

  • Security Characteristic Lines

  • Economic Ordering Quantity

  • Consumer Cartel

  • Producer Cartel

  • Linear Regression Example

下一步
Portfolios with one risky investments

最新資源

  • random coprime pairs
  • seo tool
  • Untitled
  • z`]]
  • Nikmati Keunggulan Di Bandar Judi Terpercaya

探索資源

  • DYNAMIC POLYGON PATTERN
  • geogebra-export
  • MODUL 5_FITRI AGUSRINI_SMPN56 BATAM
  • Cosine Angles

探索主題

  • 餘弦
  • 函數
  • 周長
  • 幾何
  • 分數
關於合作夥伴支援中心
服務條款隱私版權
繪圖計算機計算機套件課程資源

在這裡下載我們的 App:

Download_on_the_App_Store_Badge_US-UK_RGB_blk_4SVG_092917

© 2025 GeoGebra®