金融 数学 英语是什么意思 - 英语翻译

mathematical finance
数学 金融

在 中文 中使用 金融 数学 的示例及其翻译为 英语

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金融数学这是在应用数学中增长最快的研究领域之一。
Financial Mathematics is one of the fastest growing research fields in applied mathematics..
什么是金融数学?
What is Mathematical Finance?
期权定价问题是金融数学的核心问题之一。
The price of options is a fundamental problem of financial mathematics.
期权定价问题是金融数学的核心问题之一。
Option pricing is a central problem of financial mathematics.
金融数学中已过的时间的敏感度.
Sensitivity to the passage of time in mathematical finance.
金融数学是数学的一个分支,为数据和统计方法开发并应用于金融市场和财务管理。
Financial mathematics is a branch of mathematics where advanced mathematical and statistical methods are developed for and applied to financial markets and financial management.
博洛尼亚进程下启动的2007/08中,在金融数学硕士已经提供每年从那以后。
Launched in 2007/08 under the Bologna process, the Masters in Mathematical Finance has been offered every year ever since then.
培养具有(精确)精算和金融数学知识的毕业生,能够进行批判性思考和解决问题;.
To produce graduates with(sound) knowledge of actuarial and financial mathematics, capable of critical thinking and problem solving;
应用领域包括数学统计物理,数学流行病学,经济学和金融数学
Areas of applications include mathematical statistical physics, mathematical epidemiology,economics and mathematical finance.
他为商业算术和金融数学奠定了基础,但如今他主要以斐波那契数字和数列而闻名。
Although he laid the groundwork for commercial arithmetic and financial mathematics, he is nowadays mostly known for the Fibonacci numbers and sequence.
金融数学是一个跨学科领域,带来金融学,经济学,数学理论,统计学和计算机科学在一起。
Financial mathematics is a cross-disciplinary field that brings finance, economics, mathematical theory, statistics and computer science together.
大师在随机指标和金融数学计划是一个为期两年的计划,分为四个学期。
The Master's programme in Stochastics and Financial Mathematics is a two-year programme, divided into four semesters.
金融数学是在两次华尔街革命的基础上迅速发展起来的一门数学与金融学相交叉的前沿学科。
Financial mathematics is a frontier subject of mathematics and finance that has developed rapidly on the basis of the two Wall Street revolution.
培养具有(精确)精算和金融数学知识的毕业生,能够进行批判性思考和解决问题;.
The Bachelor of Actuarial Science is toproduce graduates with sound knowledge of actuarial and financial mathematics, capable of critical thinking and problem solving;
随着金融创新速度的加快,拥有金融数学专项训练的高素质人才需求也在加强。
As the pace of financial innovation quickens,the need for highly qualified individuals with specific training in financial mathematics will only intensify.
该硕士课程随机指标和金融数学训练你在全深度这些领域和广度,在理论和应用。
The Master's programme Stochastics and Financial Mathematics trains you in the full depth and breadth of these fields, in both theory and application.
该计划包括四个轨道:计算数学,金融数学,优化和系统理论,统计学习和数据分析。
The programme contains four tracks: Computational Mathematics, Financial Mathematics, Optimization and Systems Theory, and Statistical Learning and Data Analytics.
现代金融的发展与计算机、通信和金融数学的发展紧密相关。
The evolution of modern finance was closely linked to the evolution of computers,communications, and financial mathematics.
传热方程也可以用于模拟金融数学及股市。
The heat transferequation can also be applied to financial mathematics and the modeling of stock markets.
你先研究广泛的模块,涵盖主题,包括随机过程,代数编码理论,布莱克斯科尔斯理论和金融数学
You first study a wide range of modules covering topics including stochastic processes, algebraic coding theory,black scholes theory and financial mathematics.
主题包括基本的概率包括组合数学和马尔可夫链,线性系统和矩阵代数,线性规划,和金融数学
Topics include elementary probability including combinatorics and Markov chains, linear systems and matrix algebra,linear programming, and financial mathematics.
该课程的设计涵盖保险、统计学、决策和金融数学等主题。
The curriculums are designed to cover topics in insurance, statistics,decision making, and financial mathematics.
现代金融的发展与计算机、通信和金融数学的发展密切相关。
The evolution of modern finance was closely linked to the evolution of computers,communications, and financial mathematics.
金融数学在20世纪90年代早期的发展中,遇到的第一个挑战是如何实施日益复杂的数学模型所支撑的动态对冲。
During the development of financial mathematics in the early 1990s, the first challenge was to implement a dynamic hedging, supported by increasingly sophisticated mathematical models.
金融数学硕士(也称为M-Phimac)是一项密集的一年制研究生课程。
The Master of Financial Mathematics(also called M-Phimac) is an intensive one year graduate program.
金融数学中,最基本的目标之一就是在现实世界中去建立使风险最小化的最优投资策略。
One of the main objectives of financial maths is to learn how to construct the ideal investment strategies that minimises risks in the actual world.
套利、最优与均衡是金融数学的基本经济思想和三大基本概念。
Arbitrage, optimization and equilibrium are the basic economic ideas andthree basic concepts of financial mathematics.
麦克马斯特大学金融数学硕士(M-Phimac)项目代表了新一代的量化金融培训。
McMaster's Master in Financial Mathematics(M-Phimac) program represents the next generation of training in quantitative finance.
该课程将主流高级统计建模方面的深入培训与金融数学专业相结合。
This programme combines in-depth training inmainstream advanced statistical modelling with a specialisation in financial mathematics.
热方程在许多现象的数学模型中出现,而且常在金融数学中作为期权的模型出现。
The heat equation arises in the modeling of a number of phenomena andis often used in financial mathematics in the modeling of options.
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