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Mathematical modelling of Options on alternative underlying

I have a project that requires the thorough understanding of the following:

+ Binary options

+ European Options

+ Black Scholes Options formula for both

+ Bacheliers Options pricing

+ Normal distributions, log normal distributions, monte carlo approximations perhaps required

+ A vague understanding of sports bets

I have a piece of software that pulls data and puts them into tables. It includes futures data and binary option data, and I would like to use that data to correctly estimate implied volatility and realised volatility. The data is from SPORTS bets in-play.

Please ONLY message if you are comfortable dealing with these concepts, and point towards your experience in your message, otherwise you will be ignored.

For the right person, this is probably a job that'll take less than an hour, so I expect prices in line with that.

Thanks,

Darshan

Навички: Фінанси, Фінансові ринки, Математика

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Про роботодавця:
( 8 відгуки(-ів) ) London, United Kingdom

ID Проекту: #12170655

1 фрілансер у середньому готовий виконати цю роботу за £150

£150 GBP за 3 дні(-в)
(1 відгук)
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