Implementing Machine Learning for Finance | A Systematic Approach to Predictive Risk and Performance Analysis for Investment Portfolios
Langue : anglais
Edité par Apress, 2021
- Livre broché
- Neuf



Vendeur : preigu, Osnabrück, Allemagnepreigu
Vendeur AbeBooks depuis 5 août 2024
Etat: Neuf
EUR 54,90
Quantité disponible : 5 disponible(s)
Ajouter au panierItem description from seller
Implementing Machine Learning for Finance | A Systematic Approach to Predictive Risk and Performance Analysis for Investment Portfolios | Tshepo Chris Nokeri | Taschenbuch | xviii | Englisch | 2021 | Apress | EAN 9781484271094 | Verantwortliche Person für die EU: APress in Springer Science + Business Media, Heidelberger Platz 3, 14197 Berlin, juergen[dot]hartmann[at]springer[dot]com | Anbieter: preigu.
N° de réf. du vendeur 119759131
- Titre
- Implementing Machine Learning for Finance | A Systematic Approach to Predictive Risk and Performance Analysis for Investment Portfolios
- Auteur
- Tshepo Chris Nokeri
- Éditeur
- Apress
- Année de publication
- 2021
- État de l'article
- Neu
- Reliure
- Taschenbuch
- Langue
- anglais
- ISBN à 10 chiffres
- 1484271092
- ISBN à 13 chiffres
- 9781484271094
- Poids de l'article
- 312 grammes
- Dimensions
- 235 x 155 x 12 mm
- Catalogues du vendeur
- Bücher
The book introduces pattern recognition and future price forecasting that exerts effects on time series analysis models, such as the Autoregressive Integrated Moving Average (ARIMA) model, Seasonal ARIMA (SARIMA) model, and Additive model, and it covers the Least Squares model and the Long Short-Term Memory (LSTM) model. It presents hidden pattern recognition and market regime prediction applying the Gaussian Hidden Markov Model. The book covers the practical application of the K-Means model in stock clustering. It establishes the practical application of the Variance-Covariance method and Simulation method (using Monte Carlo Simulation) for value at risk estimation. It also includes market direction classification using both the Logistic classifier and the Multilayer Perceptron classifier. Finally, the book presents performance and risk analysis for investment portfolios.
By the end of this book, you should be able to explain how algorithmic trading works and its practical application in the real world, and know how to apply supervised and unsupervised ML and DL models to bolster investment decision making and implement and optimize investment strategies and systems.
What You Will Learn
- Understand the fundamentals of the financial market and algorithmic trading, as well as supervised and unsupervised learning models that are appropriate for systematic investment portfolio management
- Know the concepts of feature engineering, data visualization, and hyperparameter optimization
- Design, build, and test supervised and unsupervised ML and DL models
- Discover seasonality, trends, and market regimes, simulating a change in the market and investment strategy problems and predicting market direction and prices
- Structure and optimize an investment portfolio with preeminent asset classes and measure the underlying risk
Who This Book Is For
Beginning and intermediate data scientists, machine learning engineers, business executives, and finance professionals (such as investment analysts and traders)
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À propos de l’auteur
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preigu
Osnabrück, Allemagne
Vendeur AbeBooks depuis 5 août 2024
Frais d'expédition de Allemagne vers Etats-Unis
| Article | 60 à 60 jours ouvrés | 60 à 60 jours ouvrés |
|---|---|---|
| Premier article | EUR 70,00 | EUR 70,00 |
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