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Published by O'Reilly Media 12/1/2020, 2020
ISBN 10: 1492073059 ISBN 13: 9781492073055
Language: English
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Paperback or Softback. Condition: New. Machine Learning and Data Science Blueprints for Finance: From Building Trading Strategies to Robo-Advisors Using Python 1.45. Book.
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Paperback. Condition: New. Over the next few decades, machine learning and data science will transform the finance industry. With this practical book, analysts, traders, researchers, and developers will learn how to build machine learning algorithms crucial to the industry. You'll examine ML concepts and over 20 case studies in supervised, unsupervised, and reinforcement learning, along with natural language processing (NLP).Ideal for professionals working at hedge funds, investment and retail banks, and fintech firms, this book also delves deep into portfolio management, algorithmic trading, derivative pricing, fraud detection, asset price prediction, sentiment analysis, and chatbot development. You'll explore real-life problems faced by practitioners and learn scientifically sound solutions supported by code and examples.This book covers:Supervised learning regression-based models for trading strategies, derivative pricing, and portfolio managementSupervised learning classification-based models for credit default risk prediction, fraud detection, and trading strategiesDimensionality reduction techniques with case studies in portfolio management, trading strategy, and yield curve constructionAlgorithms and clustering techniques for finding similar objects, with case studies in trading strategies and portfolio managementReinforcement learning models and techniques used for building trading strategies, derivatives hedging, and portfolio managementNLP techniques using Python libraries such as NLTK and scikit-learn for transforming text into meaningful representations.
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Add to basketPaperback. Condition: New. Over the next few decades, machine learning and data science will transform the finance industry. With this practical book, analysts, traders, researchers, and developers will learn how to build machine learning algorithms crucial to the industry. You'll examine ML concepts and over 20 case studies in supervised, unsupervised, and reinforcement learning, along with natural language processing (NLP).Ideal for professionals working at hedge funds, investment and retail banks, and fintech firms, this book also delves deep into portfolio management, algorithmic trading, derivative pricing, fraud detection, asset price prediction, sentiment analysis, and chatbot development. You'll explore real-life problems faced by practitioners and learn scientifically sound solutions supported by code and examples.This book covers:Supervised learning regression-based models for trading strategies, derivative pricing, and portfolio managementSupervised learning classification-based models for credit default risk prediction, fraud detection, and trading strategiesDimensionality reduction techniques with case studies in portfolio management, trading strategy, and yield curve constructionAlgorithms and clustering techniques for finding similar objects, with case studies in trading strategies and portfolio managementReinforcement learning models and techniques used for building trading strategies, derivatives hedging, and portfolio managementNLP techniques using Python libraries such as NLTK and scikit-learn for transforming text into meaningful representations.
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Published by Oreilly & Associates Inc, 2020
ISBN 10: 1492073059 ISBN 13: 9781492073055
Language: English
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Published by O'reilly Media Dez 2020, 2020
ISBN 10: 1492073059 ISBN 13: 9781492073055
Language: English
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Add to basketTaschenbuch. Condition: Neu. Neuware - Machine learning and data science will significantly transform the finance industry in the next few years. With this practical guide, professionals at hedge funds, investment and retail banks, and fintech firms will learn how to build ML algorithms crucial to this industry. You'll examine ML concepts and over 20 case studies in supervised, unsupervised, and reinforcement learning, along with natural language processing (NLP).
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Add to basketPaperback. Condition: New. Over the next few decades, machine learning and data science will transform the finance industry. With this practical book, analysts, traders, researchers, and developers will learn how to build machine learning algorithms crucial to the industry. You'll examine ML concepts and over 20 case studies in supervised, unsupervised, and reinforcement learning, along with natural language processing (NLP).Ideal for professionals working at hedge funds, investment and retail banks, and fintech firms, this book also delves deep into portfolio management, algorithmic trading, derivative pricing, fraud detection, asset price prediction, sentiment analysis, and chatbot development. You'll explore real-life problems faced by practitioners and learn scientifically sound solutions supported by code and examples.This book covers:Supervised learning regression-based models for trading strategies, derivative pricing, and portfolio managementSupervised learning classification-based models for credit default risk prediction, fraud detection, and trading strategiesDimensionality reduction techniques with case studies in portfolio management, trading strategy, and yield curve constructionAlgorithms and clustering techniques for finding similar objects, with case studies in trading strategies and portfolio managementReinforcement learning models and techniques used for building trading strategies, derivatives hedging, and portfolio managementNLP techniques using Python libraries such as NLTK and scikit-learn for transforming text into meaningful representations.
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Add to basketKartoniert / Broschiert. Condition: New. Over the next few decades, machine learning and data science will transform the finance industry. With this practical book, analysts, traders, researchers, and developers will learn how to build machine learning algorithms crucial to the industry.&U.
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Add to basketPaperback. Condition: New. Over the next few decades, machine learning and data science will transform the finance industry. With this practical book, analysts, traders, researchers, and developers will learn how to build machine learning algorithms crucial to the industry. You'll examine ML concepts and over 20 case studies in supervised, unsupervised, and reinforcement learning, along with natural language processing (NLP).Ideal for professionals working at hedge funds, investment and retail banks, and fintech firms, this book also delves deep into portfolio management, algorithmic trading, derivative pricing, fraud detection, asset price prediction, sentiment analysis, and chatbot development. You'll explore real-life problems faced by practitioners and learn scientifically sound solutions supported by code and examples.This book covers:Supervised learning regression-based models for trading strategies, derivative pricing, and portfolio managementSupervised learning classification-based models for credit default risk prediction, fraud detection, and trading strategiesDimensionality reduction techniques with case studies in portfolio management, trading strategy, and yield curve constructionAlgorithms and clustering techniques for finding similar objects, with case studies in trading strategies and portfolio managementReinforcement learning models and techniques used for building trading strategies, derivatives hedging, and portfolio managementNLP techniques using Python libraries such as NLTK and scikit-learn for transforming text into meaningful representations.
Published by Oreilly & Associates Inc, 2020
ISBN 10: 1492073059 ISBN 13: 9781492073055
Language: English
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Add to basketPaperback. Condition: Brand New. 400 pages. 9.00x7.00x0.75 inches. In Stock. This item is printed on demand.