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Nonparametric Finance

Jazyk AngličtinaAngličtina
Kniha Pevná
Kniha Nonparametric Finance Jussi Klemela
Libristo kód: 18094051
Nakladateľstvo John Wiley and Sons Ltd, jún 2018
An Introduction to Machine Learning in Finance, With Mathematical Background, Data Visualization, an... Celý popis
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133.32
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An Introduction to Machine Learning in Finance, With Mathematical Background, Data Visualization, and R Nonparametric function estimation is an important part of machine learning, which is becoming increasingly important in quantitative finance. Nonparametric Finance provides graduate students and finance professionals with a foundation in nonparametric function estimation and the underlying mathematics. Combining practical applications, mathematically rigorous presentation, and statistical data analysis into a single volume, this book presents detailed instruction in discrete chapters that allow readers to dip in as needed without reading from beginning to end. Coverage includes statistical finance, risk management, portfolio management, and securities pricing to provide a practical knowledge base, and the introductory chapter introduces basic finance concepts for readers with a strictly mathematical background. Economic significance is emphasized over statistical significance throughout, and R code is provided to help readers reproduce the research, computations, and figures being discussed. Strong graphical content clarifies the methods and demonstrates essential visualization techniques, while deep mathematical and statistical insight backs up practical applications. Written for the leading edge of finance, Nonparametric Finance: Introduces basic statistical finance concepts, including univariate and multivariate data analysis, time series analysis, and prediction Provides risk management guidance through volatility prediction, quantiles, and value-at-risk Examines portfolio theory, performance measurement, Markowitz portfolios, dynamic portfolio selection, and more Discusses fundamental theorems of asset pricing, Black-Scholes pricing and hedging, quadratic pricing and hedging, option portfolios, interest rate derivatives, and other asset pricing principles Provides supplementary R code and numerous graphics to reinforce complex content Nonparametric function estimation has received little attention in the context of risk management and option pricing, despite its useful applications and benefits. This book provides the essential background and practical knowledge needed to take full advantage of these little-used methods, and turn them into real-world advantage.

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Informácie o knihe

Celý názov Nonparametric Finance
Jazyk Angličtina
Väzba Kniha - Pevná
Dátum vydania 2018
Počet strán 704
EAN 9781119409106
ISBN 1119409101
Libristo kód 18094051
Nakladateľstvo John Wiley and Sons Ltd
Váha 1254
Rozmery 238 x 165 x 36
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