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Mastering R for Quantitative Finance

2015 Edition, March 1, 2015

Complete Document



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Active, Most Current

EN
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ISBN: 9781783552078
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Product Details:

  • Revision: 2015 Edition, March 1, 2015
  • Published Date: March 2015
  • Status: Active, Most Current
  • Document Language: English
  • Published By: Packt Publishing, Inc. (PACKT)
  • Page Count: 362
  • ANSI Approved: No
  • DoD Adopted: No

Description / Abstract:

Preface

Mastering R for Quantitative Finance is a sequel of our previous volume titled Introduction to R for Quantitative Finance, and it is intended for those willing to learn to use R's capabilities for building models in Quantitative Finance at a more advanced level. In this book, we will cover new topics in empirical finance (chapters 1-4), financial engineering (chapters 5-7), optimization of trading strategies (chapters 8-10), and bank management (chapters 11-13).