Machine Learning and Data Sciences for Financial Markets : A Guide to Contemporary Practices
Book Details
Format
Hardback or Cased Book
ISBN-10
1316516199
ISBN-13
9781316516195
Publisher
Cambridge University Press
Imprint
Cambridge University Press
Country of Manufacture
GB
Country of Publication
GB
Publication Date
Jun 1st, 2023
Print length
741 Pages
Weight
1,666 grams
Dimensions
18.50 x 26.20 x 3.90 cms
Product Classification:
Applied mathematics
Ksh 19,850.00
Manufactured on Demand
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3 copies in stock
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Written by more than sixty experts in the area, this book reviews cutting-edge practices in machine learning for financial markets, and explores connections with data science and more traditional approaches. This is an invaluable resource for researchers and graduate students in financial engineering, as well as practitioners in the sector.
Leveraging the research efforts of more than sixty experts in the area, this book reviews cutting-edge practices in machine learning for financial markets. Instead of seeing machine learning as a new field, the authors explore the connection between knowledge developed by quantitative finance over the past forty years and techniques generated by the current revolution driven by data sciences and artificial intelligence. The text is structured around three main areas: 'Interactions with investors and asset owners,' which covers robo-advisors and price formation; 'Risk intermediation,' which discusses derivative hedging, portfolio construction, and machine learning for dynamic optimization; and 'Connections with the real economy,' which explores nowcasting, alternative data, and ethics of algorithms. Accessible to a wide audience, this invaluable resource will allow practitioners to include machine learning driven techniques in their day-to-day quantitative practices, while students will build intuition and come to appreciate the technical tools and motivation for the theory.
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