

Beschreibung
Informationen zum Autor Steve Bell is a Quantitative Investment Researcher and Director at Research In Action. A highly experienced mathematical and statistical modeller, he is knowledgeable in energy markets and has a particular interest in systematic quantit...Informationen zum Autor Steve Bell is a Quantitative Investment Researcher and Director at Research In Action. A highly experienced mathematical and statistical modeller, he is knowledgeable in energy markets and has a particular interest in systematic quantitative trading strategy development at any frequency. Klappentext An accessible, thorough introduction to quantitative financeDoes the complex world of quantitative finance make you quiver? You're not alone! It's a tough subject for even high-level financial gurus to grasp, but Quantitative Finance For Dummies offers plain-English guidance on making sense of applying mathematics to investing decisions. With this complete guide, you'll gain a solid understanding of futures, options and risk, and get up-to-speed on the most popular equations, methods, formulas and models (such as the Black-Scholes model) that are applied in quantitative finance.Also known as mathematical finance, quantitative finance is the field of mathematics applied to financial markets. It's a highly technical discipline--but almost all investment companies and hedge funds use quantitative methods. This fun and friendly guide breaks the subject of quantitative finance down to easily digestible parts, making it approachable for personal investors and finance students alike. With the help of Quantitative Finance For Dummies, you'll learn the mathematical skills necessary for success with quantitative finance, the most up-to-date portfolio and risk management applications and everything you need to know about basic derivatives pricing. Covers the core models, formulas and methods used in quantitative finance Includes examples and brief exercises to help augment your understanding of QF Provides an easy-to-follow introduction to the complex world of quantitative finance Explains how QF methods are used to define the current market value of a derivative securityWhether you're an aspiring quant or a top-tier personal investor, Quantitative Finance For Dummies is your go-to guide for coming to grips with QF/risk management. Zusammenfassung An accessible! thorough introduction to quantitative financeDoes the complex world of quantitative finance make you quiver? You're not alone! It's a tough subject for even high-level financial gurus to grasp! but Quantitative Finance For Dummies offers plain-English guidance on making sense of applying mathematics to investing decisions. With this complete guide! you'll gain a solid understanding of futures! options and risk! and get up-to-speed on the most popular equations! methods! formulas and models (such as the Black-Scholes model) that are applied in quantitative finance.Also known as mathematical finance! quantitative finance is the field of mathematics applied to financial markets. It's a highly technical discipline--but almost all investment companies and hedge funds use quantitative methods. This fun and friendly guide breaks the subject of quantitative finance down to easily digestible parts! making it approachable for personal investors and finance students alike. With the help of Quantitative Finance For Dummies! you'll learn the mathematical skills necessary for success with quantitative finance! the most up-to-date portfolio and risk management applications and everything you need to know about basic derivatives pricing. Covers the core models! formulas and methods used in quantitative finance Includes examples and brief exercises to help augment your understanding of QF Provides an easy-to-follow introduction to the complex world of quantitative finance Explains how QF methods are used to define the current market value of a derivative securityWhether you're an aspiring quant or a top-tier personal investor! Quantitative Finance For Dummies is your go-to guide for coming to grips with QF/risk management. Inhaltsverzeichnis Introduction 1 About This Book ...
Autorentext
Steve Bell is a Quantitative Investment Researcher and Director at Research In Action. A highly experienced mathematical and statistical modeller, he is knowledgeable in energy markets and has a particular interest in systematic quantitative trading strategy development at any frequency.
Klappentext
An accessible, thorough introduction to quantitative finance Does the complex world of quantitative finance make you quiver? You're not alone! It's a tough subject for even high-level financial gurus to grasp, but Quantitative Finance For Dummies offers plain-English guidance on making sense of applying mathematics to investing decisions. With this complete guide, you'll gain a solid understanding of futures, options and risk, and get up-to-speed on the most popular equations, methods, formulas and models (such as the Black-Scholes model) that are applied in quantitative finance. Also known as mathematical finance, quantitative finance is the field of mathematics applied to financial markets. It's a highly technical discipline--but almost all investment companies and hedge funds use quantitative methods. This fun and friendly guide breaks the subject of quantitative finance down to easily digestible parts, making it approachable for personal investors and finance students alike. With the help of Quantitative Finance For Dummies, you'll learn the mathematical skills necessary for success with quantitative finance, the most up-to-date portfolio and risk management applications and everything you need to know about basic derivatives pricing. Covers the core models, formulas and methods used in quantitative finance Includes examples and brief exercises to help augment your understanding of QF Provides an easy-to-follow introduction to the complex world of quantitative finance Explains how QF methods are used to define the current market value of a derivative security Whether you're an aspiring quant or a top-tier personal investor, Quantitative Finance For Dummies is your go-to guide for coming to grips with QF/risk management.
Inhalt
Introduction 1
About This Book 1
Foolish Assumptions 2
Icons Used in This Book 3
Where to Go from Here 3
Part 1: Getting Started With Quantitative Finance 5
Chapter 1: Quantitative Finance Unveiled 7
Defining Quantitative Finance 8
Summarising the mathematics 8
Pricing, managing and trading 9
Meeting the market participants 9
Walking like a drunkard 10
Knowing that almost nothing isn't completely nothing 11
Recognising irrational exuberance 14
Wielding Financial Weapons of Mass Destruction 15
Going beyond cash 17
Inventing new contracts 18
Analysing and Describing Market Behaviour 20
Measuring jumpy prices 20
Keeping your head while using lots of data 21
Valuing your options 21
Managing Risk 22
Hedging and speculating 22
Generating income 23
Building portfolios and reducing risk 23
Computing, Algorithms and Markets 24
Seeing the signal in the noise 24
Keeping it simple 25
Looking at the finer details of markets 25
Trading at higher frequency 26
Chapter 2: Understanding Probability and Statistics 27
Figuring Probability by Flipping a Coin 28
Playing a game 31
Flipping more coins 32
Defining Random Variables 33
Using random variables 34
Building distributions with random variables 35
Introducing Some Important Distributions 38
Working with a binomial distribution 39
Recognising the Gaussian, or normal, distribution 40
Describing real distributions 41
Chapter 3: Taking a Look at Random Behaviours 45
Setting Up a Random Walk 45
Stepping in just two directions 47
Getting somewhere on your walk 48
Taking smaller and smaller steps 49
Averaging with the Central Limit Theorem 50
Moving Like the Stock Market 53
Generating Random Numbers on a Computer 54
Getting random with Excel 55
Using the central limit theorem again 58
Simulating Random Walks 58
Moving Up a Gear 60
Working a stochastic differential equation 60
Expan…
