Reactive Publishing
In the world of finance, trading, and risk management, understanding probability and statistics is essential. Whether you're analyzing market trends, pricing options, or optimizing portfolios, quantitative finance relies on a strong foundation in statistical methods.
This comprehensive guide bridges the gap between theory and application, helping you develop the skills needed to succeed in financial markets.
What You’ll Learn:Core Probability Concepts – Random variables, expected value, and probability distributions (Normal, Lognormal, Poisson)
Statistical Methods for Finance – Hypothesis testing, regression analysis, and Bayesian inference
Risk Management & Portfolio Optimization – Value at Risk (VaR), Monte Carlo simulations, and correlation analysis
Machine Learning in Finance – Predictive analytics, time series forecasting, and statistical arbitrage
Practical Python Applications – Code examples for data analysis, risk modeling, and backtesting strategies
Traders & Investors – Improve your trading strategies with statistical insights
Financial Analysts & Risk Managers – Master probability-based risk assessment
Students & Quantitative Finance Professionals – Strengthen your mathematical foundation for real-world applications
With clear explanations, real-world case studies, and Python implementations, this book is designed to turn complex math into actionable financial insights.
Take your finance skills to the next level—get your copy today!
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EUR 5,75 für den Versand von Vereinigtes Königreich nach Deutschland
Versandziele, Kosten & DauerAnbieter: Ria Christie Collections, Uxbridge, Vereinigtes Königreich
Zustand: New. In. Artikel-Nr. ria9798312079890_new
Anzahl: Mehr als 20 verfügbar