Articles liés à Linear Algebra & Matrix Theory For Finance: A Practical...

Linear Algebra & Matrix Theory For Finance: A Practical Guide for Quantitative Analysts and Traders - Couverture souple

 
9798312085679: Linear Algebra & Matrix Theory For Finance: A Practical Guide for Quantitative Analysts and Traders

Résultats de recherche pour Linear Algebra & Matrix Theory For Finance: A Practical...

Image d'archives

Van Der Post, Hayden; Publishing, Reactive; Strauss, Johann
Edité par Independently published, 2025
ISBN 13 : 9798312085679
Neuf Couverture souple
impression à la demande

Vendeur : California Books, Miami, FL, Etats-Unis

Évaluation du vendeur 5 sur 5 étoiles Evaluation 5 étoiles, En savoir plus sur les évaluations des vendeurs

Etat : New. Print on Demand. N° de réf. du vendeur I-9798312085679

Contacter le vendeur

Acheter neuf

EUR 29,46
Autre devise
Frais de port : Gratuit
Vers Etats-Unis
Destinations, frais et délais

Quantité disponible : Plus de 20 disponibles

Ajouter au panier

Image d'archives

Reactive Publishing
Edité par Independently Published, 2025
ISBN 13 : 9798312085679
Neuf Paperback

Vendeur : Grand Eagle Retail, Fairfield, OH, Etats-Unis

Évaluation du vendeur 5 sur 5 étoiles Evaluation 5 étoiles, En savoir plus sur les évaluations des vendeurs

Paperback. Etat : new. Paperback. Reactive PublishingMaster Linear Algebra for Smarter Financial Decision-MakingLinear algebra is the backbone of quantitative finance, powering everything from portfolio optimization and risk management to algorithmic trading and machine learning models. Whether you're an investor, trader, or risk analyst, understanding matrix operations, eigenvalues, and vector spaces is essential for developing data-driven financial strategies.This comprehensive guide demystifies linear algebra and its real-world applications in finance, providing you with hands-on examples, Python implementations, and step-by-step explanations to sharpen your quantitative skills.What You'll Learn: Matrix Algebra & Financial Applications - Covariance matrices, risk modeling, and asset correlationsEigenvalues & Principal Component Analysis (PCA) - Reduce dimensionality and uncover market factorsMarkowitz Modern Portfolio Theory (MPT) - Construct efficient portfolios using optimization techniquesLinear Regression & Factor Models - Apply linear algebra to predictive analytics and risk factor analysisAlgorithmic Trading & Machine Learning - Use matrix-based models to enhance trading strategiesWho This Book is For: Traders & Investors - Improve portfolio allocation with quantitative modelsFinancial Analysts & Risk Managers - Master covariance matrices and eigenvalue decomposition for better risk assessmentStudents & Quantitative Finance Professionals - Strengthen your mathematical foundation for machine learning and algorithmic tradingWith clear explanations, real-world case studies, and Python implementations, this book is designed to turn abstract math into actionable financial insights.Take your quantitative finance skills to the next level-get your copy today! Shipping may be from multiple locations in the US or from the UK, depending on stock availability. N° de réf. du vendeur 9798312085679

Contacter le vendeur

Acheter neuf

EUR 33,37
Autre devise
Frais de port : Gratuit
Vers Etats-Unis
Destinations, frais et délais

Quantité disponible : 1 disponible(s)

Ajouter au panier

Image d'archives

Van Der Post, Hayden; Publishing, Reactive; Strauss, Johann
Edité par Independently published, 2025
ISBN 13 : 9798312085679
Neuf Couverture souple

Vendeur : Ria Christie Collections, Uxbridge, Royaume-Uni

Évaluation du vendeur 5 sur 5 étoiles Evaluation 5 étoiles, En savoir plus sur les évaluations des vendeurs

Etat : New. In. N° de réf. du vendeur ria9798312085679_new

Contacter le vendeur

Acheter neuf

EUR 30,48
Autre devise
Frais de port : EUR 14,25
De Royaume-Uni vers Etats-Unis
Destinations, frais et délais

Quantité disponible : Plus de 20 disponibles

Ajouter au panier

Image d'archives

Reactive Publishing
Edité par Independently Published, 2025
ISBN 13 : 9798312085679
Neuf Paperback

Vendeur : CitiRetail, Stevenage, Royaume-Uni

Évaluation du vendeur 5 sur 5 étoiles Evaluation 5 étoiles, En savoir plus sur les évaluations des vendeurs

Paperback. Etat : new. Paperback. Reactive PublishingMaster Linear Algebra for Smarter Financial Decision-MakingLinear algebra is the backbone of quantitative finance, powering everything from portfolio optimization and risk management to algorithmic trading and machine learning models. Whether you're an investor, trader, or risk analyst, understanding matrix operations, eigenvalues, and vector spaces is essential for developing data-driven financial strategies.This comprehensive guide demystifies linear algebra and its real-world applications in finance, providing you with hands-on examples, Python implementations, and step-by-step explanations to sharpen your quantitative skills.What You'll Learn: Matrix Algebra & Financial Applications - Covariance matrices, risk modeling, and asset correlationsEigenvalues & Principal Component Analysis (PCA) - Reduce dimensionality and uncover market factorsMarkowitz Modern Portfolio Theory (MPT) - Construct efficient portfolios using optimization techniquesLinear Regression & Factor Models - Apply linear algebra to predictive analytics and risk factor analysisAlgorithmic Trading & Machine Learning - Use matrix-based models to enhance trading strategiesWho This Book is For: Traders & Investors - Improve portfolio allocation with quantitative modelsFinancial Analysts & Risk Managers - Master covariance matrices and eigenvalue decomposition for better risk assessmentStudents & Quantitative Finance Professionals - Strengthen your mathematical foundation for machine learning and algorithmic tradingWith clear explanations, real-world case studies, and Python implementations, this book is designed to turn abstract math into actionable financial insights.Take your quantitative finance skills to the next level-get your copy today! Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. N° de réf. du vendeur 9798312085679

Contacter le vendeur

Acheter neuf

EUR 33,66
Autre devise
Frais de port : EUR 44
De Royaume-Uni vers Etats-Unis
Destinations, frais et délais

Quantité disponible : 1 disponible(s)

Ajouter au panier