Digital transformation has fundamentally reshaped modern finance, creating growing demand for professionals who can develop and apply quantitative models in real-world financial environments. As financial systems become increasingly data-driven, the ability to combine financial theory with programming and analytics has become an essential skill across the industry. Quantitative finance now extends far beyond traditional mathematical modeling, requiring practical expertise in programming languages, data analysis frameworks, algorithmic methods, and financial technologies. The rapidly evolving financial sector increasingly demands fluency in a broader ecosystem of specialized technologies and analytical techniques. Quantitative Finance Programming: Models, Methods, and Business Applications provides a comprehensive and modern examination of the relationship between quantitative finance theory and its practical implementation in real-world financial environments. Bridging financial modeling, programming, analytics, and business applications, this book presents a multifaceted guide to the tools, methods, and technologies shaping modern quantitative finance while preparing readers to address the analytical demands of increasingly complex and data-driven financial systems. Covering topics such as machine learning algorithms, portfolio management, and systemic risk transmission, this book is an indispensable academic resource for graduate and doctoral students, finance professionals, quantitative analysts, risk management specialists, investment professionals, portfolio managers, data scientists, software developers, financial consultants, and more.
Sider: 494
Kategori: Redovisning, Finans & Investering
e-ISBN: 9798337383750
Forsendelsesvægt: 1.2 kg
Sendes inden for: 1-2 dage
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