Modelos matemáticos aplicados a la toma de decisiones financieras en condiciones de incertidumbre
Fecha
2014-07-09
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Jaén: Universidad de Jaén
Resumen
[ES]La matemática financiera es una disciplina que versa sobre el estudio de las diferentes operaciones financiera y su modelización matemática. Las cursadas por los estudiantes del grado se limitan en un estudio en ambiente de certeza, i.e., todos los datos son fijos a lo largo de las distintas operaciones financieras. Sin embargo, la situación que nos presenta la vida real suel e ser bien distinta. Las situaciones económicas cotidianas suelen estar llenas de incertidumbre. Como ejemplo, casi todos los préstamos actuales del mercado están referenciados a tipos de interés variables. La memoria que presenta el alumno hace un estudio de algunos de los casos usuales en matemáticas financieras incluyendo la incertidumbre a través de unos tipos de interés que variando en un intervalo. Entiendo que el trabajo del alumno ha sido bueno: tenido que hacer una revisión de los conocimientos de la titulación y completarla con los modelos de incertidumbre propuestos.
[EN]The mathematics of financia! transactions is a discipline that deals with the study of the different financia! operations and its mathematical modeling. The mathematics taken by students has been limited to a certainty environment, that is, ali of the data are fixed into the financia! transactions. However, the situation in real life is often quite different. The daily economic situations are often filled with uncertainty. As an example, nowadays almost all of the granted loans by financia!institutions are tied to floating interest rates (Euribor and others). The memory presented by the student studies sorne of the usual cases in financia! mathematics including uncertainty over interest rates. More precisely, interest rates are intervals. l understand that the student's work has been good, he has had to do a review of the qualifications and expertise and complete the proposed uncertainty models.
[EN]The mathematics of financia! transactions is a discipline that deals with the study of the different financia! operations and its mathematical modeling. The mathematics taken by students has been limited to a certainty environment, that is, ali of the data are fixed into the financia! transactions. However, the situation in real life is often quite different. The daily economic situations are often filled with uncertainty. As an example, nowadays almost all of the granted loans by financia!institutions are tied to floating interest rates (Euribor and others). The memory presented by the student studies sorne of the usual cases in financia! mathematics including uncertainty over interest rates. More precisely, interest rates are intervals. l understand that the student's work has been good, he has had to do a review of the qualifications and expertise and complete the proposed uncertainty models.