Free Download the Computational Financial Mathematics with Mathematica by Srdjan Stojanovic – Includes Verified Content:
Mathematica and Mathematical Methods for Finance
As interest in quantitative finance surges, so does the need for powerful tools to tackle complex market challenges. This comprehensive book bridges rigorous mathematical finance and practical implementation using Mathematica—making advanced models accessible, actionable, and computationally efficient.
Key highlights include:
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A user-friendly approach—no prior Mathematica experience required
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Full utilization of symbolic, numerical, and Monte Carlo methods
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Practical applications in Black–Scholes hedging, PDE solving, and optimal portfolio strategies
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Step-by-step Mathematica code for free boundary problems and stochastic differential equations
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Original insights on non-log-normal asset price dynamics and portfolio diversification
Ideal for both the academic world and professional traders, this book delivers a powerful combination of mathematical theory and real-world utility—turning mathematical finance into an everyday decision-making tool.

