Learning Quantitative Finance with R
Langue : anglais
Edité par Packt Publishing, 2017
- Livre broché
- Neuf



Vendeur : preigu, Osnabrück, Allemagnepreigu
Vendeur AbeBooks depuis 5 août 2024
Etat: Neuf
EUR 70,75
Quantité disponible : 5 disponibles
Ajouter au panierA propos de cet article
Learning Quantitative Finance with R | Param Jeet (u. a.) | Taschenbuch | Kartoniert / Broschiert | Englisch | 2017 | Packt Publishing | EAN 9781786462411 | Verantwortliche Person für die EU: Libri GmbH, Europaallee 1, 36244 Bad Hersfeld, gpsr[at]libri[dot]de | Anbieter: preigu Print on Demand.
N° de réf. du vendeur 108753020
- Titre
- Learning Quantitative Finance with R
- Auteur
- Param Jeet (u. a.)
- Éditeur
- Packt Publishing
- Année de publication
- 2017
- État de l'article
- Neu
- Reliure
- Taschenbuch
- Langue
- anglais
- ISBN à 10 chiffres
- 1786462419
- ISBN à 13 chiffres
- 9781786462411
- Poids de l'article
- 536 grammes
- Dimensions
- 235 x 191 x 15 mm
- Catalogues du vendeur
- Bücher
Key Features
- Understand the basics of R and how they can be applied in various Quantitative Finance scenarios
- Learn various algorithmic trading techniques and ways to optimize them using the tools available in R.
- Contain different methods to manage risk and explore trading using Machine Learning.
Book Description
The role of a quantitative analyst is very challenging, yet lucrative, so there is a lot of competition for the role in top-tier organizations and investment banks. This book is your go-to resource if you want to equip yourself with the skills required to tackle any real-world problem in quantitative finance using the popular R programming language.
You'll start by getting an understanding of the basics of R and its relevance in the field of quantitative finance. Once you've built this foundation, we'll dive into the practicalities of building financial models in R. This will help you have a fair understanding of the topics as well as their implementation, as the authors have presented some use cases along with examples that are easy to understand and correlate.
We'll also look at risk management and optimization techniques for algorithmic trading. Finally, the book will explain some advanced concepts, such as trading using machine learning, optimizations, exotic options, and hedging.
By the end of this book, you will have a firm grasp of the techniques required to implement basic quantitative finance models in R.
What you will learn
- Get to know the basics of R and how to use it in the field of Quantitative Finance
- Understand data processing and model building using R
- Explore different types of analytical techniques such as statistical
« Synopsis » peut appartenir à une autre édition de cet ouvrage.
Présentation de l'éditeur
Key Features
- Understand the basics of R and how they can be applied in various Quantitative Finance scenarios
- Learn various algorithmic trading techniques and ways to optimize them using the tools available in R.
- Contain different methods to manage risk and explore trading using Machine Learning.
Book Description
The role of a quantitative analyst is very challenging, yet lucrative, so there is a lot of competition for the role in top-tier organizations and investment banks. This book is your go-to resource if you want to equip yourself with the skills required to tackle any real-world problem in quantitative finance using the popular R programming language.
You'll start by getting an understanding of the basics of R and its relevance in the field of quantitative finance. Once you've built this foundation, we'll dive into the practicalities of building financial models in R. This will help you have a fair understanding of the topics as well as their implementation, as the authors have presented some use cases along with examples that are easy to understand and correlate.
We'll also look at risk management and optimization techniques for algorithmic trading. Finally, the book will explain some advanced concepts, such as trading using machine learning, optimizations, exotic options, and hedging.
By the end of this book, you will have a firm grasp of the techniques required to implement basic quantitative finance models in R.
What you will learn
- Get to know the basics of R and how to use it in the field of Quantitative Finance
- Understand data processing and model building using R
- Explore different types of analytical techniques such as statistical
« A propos de ce titre » peut appartenir à une autre édition de cet ouvrage.
preigu
Osnabrück, Allemagne
Vendeur AbeBooks depuis 5 août 2024
Frais d'expédition de Allemagne vers Etats-Unis
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|---|---|---|
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