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Machine Learning for Algorithmic Trading

You're reading from   Machine Learning for Algorithmic Trading Predictive models to extract signals from market and alternative data for systematic trading strategies with Python

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Product type Paperback
Published in Jul 2020
Publisher Packt
ISBN-13 9781839217715
Length 820 pages
Edition 2nd Edition
Languages
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Author (1):
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Stefan Jansen Stefan Jansen
Author Profile Icon Stefan Jansen
Stefan Jansen
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Table of Contents (27) Chapters Close

Preface 1. Machine Learning for Trading – From Idea to Execution 2. Market and Fundamental Data – Sources and Techniques FREE CHAPTER 3. Alternative Data for Finance – Categories and Use Cases 4. Financial Feature Engineering – How to Research Alpha Factors 5. Portfolio Optimization and Performance Evaluation 6. The Machine Learning Process 7. Linear Models – From Risk Factors to Return Forecasts 8. The ML4T Workflow – From Model to Strategy Backtesting 9. Time-Series Models for Volatility Forecasts and Statistical Arbitrage 10. Bayesian ML – Dynamic Sharpe Ratios and Pairs Trading 11. Random Forests – A Long-Short Strategy for Japanese Stocks 12. Boosting Your Trading Strategy 13. Data-Driven Risk Factors and Asset Allocation with Unsupervised Learning 14. Text Data for Trading – Sentiment Analysis 15. Topic Modeling – Summarizing Financial News 16. Word Embeddings for Earnings Calls and SEC Filings 17. Deep Learning for Trading 18. CNNs for Financial Time Series and Satellite Images 19. RNNs for Multivariate Time Series and Sentiment Analysis 20. Autoencoders for Conditional Risk Factors and Asset Pricing 21. Generative Adversarial Networks for Synthetic Time-Series Data 22. Deep Reinforcement Learning – Building a Trading Agent 23. Conclusions and Next Steps 24. References
25. Index
Appendix: Alpha Factor Library

Preface

If you are reading this, you are probably aware that machine learning (ML) has become a strategic capability in many industries, including the investment industry. The explosion of digital data closely related to the rise of ML is having a particularly powerful impact on investing, which already has a long history of using sophisticated models to process information. These trends are enabling novel approaches to quantitative investment and are boosting the demand for the application of data science to both discretionary and algorithmic trading strategies.

The scope of trading across asset classes is vast because it ranges from equities and government bonds to commodities and real estate. This implies that a very large range of new alternative data sources may be relevant above and beyond the market and fundamental data that used to be at the center of most analytical efforts in the past.

You also may have come across the insight that the successful application of ML or data science requires the integration of statistical knowledge, computational skills, and domain expertise at the individual or team level. In other words, it is essential to ask the right questions, identify and understand the data that may provide the answers, deploy a broad range of tools to obtain results, and interpret them in a way that leads to the right decisions.

Therefore, this book provides an integrated perspective on the application of ML to the domain of investment and trading. In this preface, we outline what you should expect, how we have organized the content to facilitate achieving our objectives, and what you need both to meet your goals and have fun in the process.

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