Книга Quantitative Risk Management Using Python Liu

Quantitative Risk Management Using Python

Автор: Liu, Peng
Език: Английски език
Корици: С меки корици
Издател: Springer Nature B.V.
Наличност: Външен склад
Изпращаме след 8-11 дни
56.91 111.30 лв
Gain an understanding of various financial risks, the benefits of portfolio diversification, and the...

Информация за книгата

Автор
Език
Английски език
Корици
Книга - С меки корици
Издадена
2025
страници
260
EAN
9798868815294
Enbook ID
49705064
Издател
Теглоt
400
Размери
155 x 235 x 15

Пълно описание

Gain an understanding of various financial risks, the benefits of portfolio diversification, and the fundamental trade-off between risk and return. This book takes an in-depth journey into the world of quantitative risk management using Python, focusing on credit and market risk, with an extension to model risk.

You'll start by reviewing the different types of financial risk, the benefit of diversification in a portfolio, and the fundamental trade-off between risk and return. The book then offers an in-depth look at managing credit and market risk in today's dynamic markets, all with practical Python implementations. Moving on, you ll examine common hedging strategies used to manage investment positions, along with practical implementations on evaluating risk-adjusted, as well as downside risk measures. Finally, you ll be introduced to common risks related to the development and use of machine learning models in finance.

Whether you're a finance professional, academic, or student, Quantitative Risk Management Using Python will empower you to make informed decisions in today's complex financial landscape.

What You Will Learn

  • Explore techniques to assess and manage the risk of default by borrowers or counterparties.
  • Identify, measure, and mitigate risks arising from fluctuations in market prices.
  • Understand how derivatives can be employed for risk management purposes.

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