Mastering R for Quantitative Finance
Language: English
Published by Packt Publishing, 2015
- Softcover
- New

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- Title
- Mastering R for Quantitative Finance
- Author
- Edina Berlinger; Ferenc Illés
- Publisher
- Packt Publishing
- Publication year
- 2015
- Condition
- New
- Binding
- Soft cover
- Language
- English
- ISBN 10
- 1783552077
- ISBN 13
- 9781783552078
If you wish to perfectly take up the rhythm of the chapters, you need to be on an intermediate level in Quantitative finance and you also need to have a reasonable knowledge of R.
"Synopsis" may belong to another edition of this title.
About the Author
Edina Berlinger
Edina Berlinger has a PhD in economics from the Corvinus University of Budapest. She is an associate professor, teaching corporate finance, investments, and financial risk management. She is the head of the Finance department of the university, and is also the chair of the finance subcommittee of the Hungarian Academy of Sciences. Her expertise covers loan systems, risk management, and more recently, network analysis. She has led several research projects in student loan design, liquidity management, heterogeneous agent models, and systemic risk.
Ferenc Illes
Ferenc Illes has an MSc degree in mathematics from Eotvos Lorand University. A few years after graduation, he started studying actuarial and financial mathematics, and he is about to pursue his PhD from Corvinus University of Budapest. In recent years, he has worked in the banking industry. Currently, he is developing statistical models with R. His interest lies in large networks and computational complexity.
Milan Badics
Milan Badics has a master's degree in finance from the Corvinus University of Budapest. Now, he is a PhD student and a member of the PADS PhD scholarship program. He teaches financial econometrics, and his main research topics are time series forecasting with data-mining methods, financial signal processing, and numerical sensitivity analysis on interest rate models. He won the competition of the X. Kochmeister-prize organized by the Hungarian Stock Exchange in May 2014.
Adam Banai
Adam Banai has received his MSc degree in investment analysis and risk management from Corvinus University of Budapest. He joined the Financial Stability department of the Magyar Nemzeti Bank (MNB, the central bank of Hungary) in 2008. Since 2013, he is the head of the Applied Research and Stress Testing department at the Financial System Analysis Directorate (MNB). He is also a PhD student at the Corvinus University of Budapest since 2011. His main research fields are solvency stress-testing, funding liquidity risk, and systemic risk.
Gergely Daroczi
Gergely Daroczi is an enthusiast R package developer and founder/CTO of an R-based web application at Rapporter. He is also a PhD candidate in sociology and is currently working as the lead R developer at CARD.com in Los Angeles. Besides teaching statistics and doing data analysis projects for several years, he has around 10 years of experience with the R programming environment. Gergely is the coauthor of Introduction to R for Quantitative Finance, and is currently working on another Packt book, Mastering Data Analysis with R, apart from a number of journal articles on social science and reporting topics. He contributed to the book by reviewing and formatting the R source code.
"About the title" may belong to another edition of this title.
Ria Christie Collections
Uxbridge, United Kingdom
AbeBooks seller since March 25, 2015
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