Big Data Science in Finance
Aldridge, Irene, Avellaneda, M.
- 出版商: Wiley
- 出版日期: 2021-01-27
- 售價: $4,200
- 貴賓價: 9.5 折 $3,990
- 語言: 英文
- 頁數: 400
- 裝訂: Hardcover - also called cloth, retail trade, or trade
- ISBN: 111960298X
- ISBN-13: 9781119602989
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相關分類:
大數據 Big-data、Data Science
海外代購書籍(需單獨結帳)
相關主題
商品描述
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 samples
- Explains the difference between Principal Component Analysis (PCA) and Singular Value Decomposition (SVD)
- Covers vital topics in the field in a clear, straightforward manner
- Compares, contrasts, and discusses Big Data and Small Data
- Includes 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.