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Big Data Science in Finance

✍ Scribed by Irene Aldridge, Marco Avellaneda


Publisher
Wiley
Year
2021
Tongue
English
Leaves
337
Edition
1
Category
Library

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✦ Synopsis


Data science has fundamentally changed Wall Streetβ€”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.

✦ Table of Contents


Contents
Preface
1 Why Big Data?
2 Neural Networks in Finance
3 Supervised Learning
4 Modeling Human Behavior with Semi-Supervised Learning
5 Letting the Data Speak with Unsupervised Learning
6 Big Data Factor Models
7 Data as a Signal versus Noise
8 Applications: Unsupervised Learning in Option Pricing and Stochastic Modeling
9 Data Clustering
Conclusion
Index


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