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Mastering R for Quantitative Finance
Mastering R for Quantitative Finance
Mastering R for Quantitative Finance
Mastering R for Quantitative Finance

Mastering R for Quantitative Finance

Product ID : 16925321


Galleon Product ID 16925321
UPC / ISBN 9781783552078
Shipping Weight 1.72 lbs
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Binding: Paperback
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Model
Manufacturer Packt Publishing
Shipping Dimension 9.25 x 7.48 x 0.83 inches
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Number Of Pages 346
Package Quantity 1
Publication Date 2015-02-27
Release Date 2015-03-10
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About Mastering R For Quantitative Finance

Use R to optimize your trading strategy and build up your own risk management system About This BookLearn to manipulate, visualize, and analyze a wide range of financial data with the help of built-in functions and programming in RUnderstand the concepts of financial engineering and create trading strategies for complex financial instrumentsExplore R for asset and liability management and capital adequacy modelingWho This Book Is ForThis book is intended for those who want to learn how to use R's capabilities to build models in quantitative finance at a more advanced level. If you wish to perfectly take up the rhythm of the chapters, you need to be at an intermediate level in quantitative finance and you also need to have a reasonable knowledge of R.What You Will Learn Analyze high frequency financial data Build, calibrate, test, and implement theoretical models such as cointegration, VAR, GARCH, APT, Black-Scholes, Margrabe, logoptimal portfolios, core-periphery, and contagion Solve p