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Reinforcement Learning for Finance
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Reinforcement Learning for Finance : A Python-Based Introduction

Book Details

Format Paperback / Softback
ISBN-10 109816914X
ISBN-13 9781098169145
Publisher O'Reilly Media
Imprint O'Reilly Media
Country of Manufacture GB
Country of Publication GB
Publication Date Oct 25th, 2024
Print length 200 Pages
Weight 386 grams
Dimensions 23.40 x 17.80 x 1.20 cms
Ksh 10,100.00
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Author Yves Hilpisch, founder and CEO of The Python Quants, provides the background you need in concise fashion. ML practitioners, financial traders, portfolio managers, strategists, and analysts will focus on the implementation of these algorithms in the form of self-contained Python code and the application to important financial problems.
Reinforcement learning (RL) has led to several breakthroughs in AI. The use of the Q-learning (DQL) algorithm alone has helped people develop agents that play arcade games and board games at a superhuman level. More recently, RL, DQL, and similar methods have gained popularity in publications related to financial research. This book is among the first to explore the use of reinforcement learning methods in finance. Author Yves Hilpisch, founder and CEO of The Python Quants, provides the background you need in concise fashion. ML practitioners, financial traders, portfolio managers, strategists, and analysts will focus on the implementation of these algorithms in the form of self-contained Python code and the application to important financial problems. This book covers:Reinforcement learningDeep Q-learningPython implementations of these algorithmsHow to apply the algorithms to financial problems such as algorithmic trading, dynamic hedging, and dynamic asset allocationThis book is the ideal reference on this topic. You'll read it once, change the examples according to your needs or ideas, and refer to it whenever you work with RL for finance.

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