Welcome to my personal page

This page is created to distribute knowledge in my areas of interest, where I define them broadly as `Investment Science’ or `วิทยาศาสตร์การลงทุน’. This may includes, but not limited to the following subject categories:

  1. Portfolio Choice / Asset Allocation
  2. Asset Pricing / Return Predictability / Factor Models
  3. Quantitative Analysis / Financial Econometrics
  4. Derivatives Strategies and Risk Modellings
  5. Fixed Income Analysis
  6. Valuations, Real Options, and Feasibility Studies

Any comments or feedbacks are welcome! Enjoy!

\displaystyle \frac{\partial V}{\partial t} + \frac{\sigma^2 S^2}{2} \frac{\partial^2 V}{\partial S^2} + r S \frac{\partial V}{\partial S} - rV = 0

Financially Yours,

Kridsda


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