Errata

Financial Theory with Python

Errata for Financial Theory with Python

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The errata list is a list of errors and their corrections that were found after the product was released. If the error was corrected in a later version or reprint the date of the correction will be displayed in the column titled "Date Corrected".

The following errata were submitted by our customers and approved as valid errors by the author or editor.

Color key: Serious technical mistake Minor technical mistake Language or formatting error Typo Question Note Update

Version Location Description Submitted By Date submitted Date corrected
Page 119
3rd paragraph, in the definition of a probability measure

In the second condition in the definition of a probability measure, the sum should be over probabilities and not the sets themselves (i.e. P(E_i), not E_i).

Note from the Author or Editor:
Indeed, the definition needs to be over probabilities.

JC  Jun 24, 2023