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Learning Quantitative Finance with R

You're reading from   Learning Quantitative Finance with R Implement machine learning, time-series analysis, algorithmic trading and more

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Product type Paperback
Published in Mar 2017
Publisher Packt
ISBN-13 9781786462411
Length 284 pages
Edition 1st Edition
Languages
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Authors (2):
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PRASHANT VATS PRASHANT VATS
Author Profile Icon PRASHANT VATS
PRASHANT VATS
Dr. Param Jeet Dr. Param Jeet
Author Profile Icon Dr. Param Jeet
Dr. Param Jeet
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Toc

Table of Contents (10) Chapters Close

Preface 1. Introduction to R FREE CHAPTER 2. Statistical Modeling 3. Econometric and Wavelet Analysis 4. Time Series Modeling 5. Algorithmic Trading 6. Trading Using Machine Learning 7. Risk Management 8. Optimization 9. Derivative Pricing

Summary


This chapter presents advanced techniques which are implemented for capital markets. I have presented various supervised and unsupervised learning in detail along with examples. This chapter particularly used Dow Jones Index closing price as dataset, which was divided into in-sample and out-sample data. The in-sample data was used for model building and the out-sample data for validation of the model. Overfitting and underfitting generally questions the generalization capacity of the model which can be understand using confusion matrix. The accuracy of the model was defined using confusionMatrix() or table().

There are various types of risks that exists in the market and in the next chapter, I will explain how to calculate risk associated with various investments, in particular market risk, portfolio risk, and so on. I will also explain Monte Carlo simulation for risk, hedging techniques, and credit risk, along with Basel regulations.

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