Risk Neutral vs Real World Calibration

access_time 2024-01-17T05:58:54.318Z face Kamal Sardana
Risk Neutral vs Real World Calibration Calibration: calibration often refers to the process of adjusting the parameters of a financial model to match real-world market data. For example, when using an option pricing model like the Black-Scholes model, one may calibrate the model by adjusting parame...
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