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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
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Dr. Param Jeet
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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

Statistics

In a given dataset, we try to summarize the data by the central position of the data, which is known as measure of central tendency or summary statistics. There are several ways to measure the central tendency, such as mean, median, and mode. Mean is the widely used measure of central tendency. Under different scenarios, we use different measures of central tendency. Now we are going to give an example of how to compute the different measures of central tendency in R.

Mean

mean is the equal weightage average of the sample. For example, we can compute the mean of Volume in the dataset Sampledata by executing the following code, which gives the arithmetic mean of the volume:

mean(Sampledata$Volume) 

Median

Median is the mid value of the matrix when it is arranged in a sorted way, which can be computed by executing the following code:

median(Sampledata$Volume) 

Mode

Mode is the value present in the attribute which has maximum frequency. For mode, there does not exist an inbuilt function...

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