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Big Data Science in Finance
Engelsk Hardback
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Big Data Science in Finance

Engelsk Hardback

717 kr
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23 - 25 hverdage

Om denne bog
Explains the mathematics, theory, and methods of Big Data as applied to finance and investing Data science has fundamentally changed Wall Street—applied mathematics and software code are increasingly driving finance and investment-decision tools. Big Data Science in Finance examines the mathematics, theory, and practical use of the revolutionary techniques that are transforming the industry. Designed for mathematically-advanced students and discerning financial practitioners alike, this energizing book presents new, cutting-edge content based on world-class research taught in the leading Financial Mathematics and Engineering programs in the world. Marco Avellaneda, a leader in quantitative finance, and quantitative methodology author Irene Aldridge help readers harness the power of Big Data. Comprehensive in scope, this book offers in-depth instruction on how to separate signal from noise, how to deal with missing data values, and how to utilize Big Data techniques in decision-making. Key topics include data clustering, data storage optimization, Big Data dynamics, Monte Carlo methods and their applications in Big Data analysis, and more. This valuable book: Provides a complete account of Big Data that includes proofs, step-by-step applications, and code samplesExplains the difference between Principal Component Analysis (PCA) and Singular Value Decomposition (SVD)Covers vital topics in the field in a clear, straightforward mannerCompares, contrasts, and discusses Big Data and Small DataIncludes Cornell University-tested educational materials such as lesson plans, end-of-chapter questions, and downloadable lecture slides Big Data Science in Finance: Mathematics and Applications is an important, up-to-date resource for students in economics, econometrics, finance, applied mathematics, industrial engineering, and business courses, and for investment managers, quantitative traders, risk and portfolio managers, and other financial practitioners.
Product detaljer
Sprog:
Engelsk
Sider:
336
ISBN-13:
9781119602989
Indbinding:
Hardback
Udgave:
ISBN-10:
111960298X
Kategori:
Udg. Dato:
8 apr 2021
Længde:
24mm
Bredde:
187mm
Højde:
262mm
Forlag:
John Wiley & Sons Inc
Oplagsdato:
8 apr 2021
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