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  • Book Overview & Buying Python for Finance
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Python for Finance

Python for Finance

By : Yuxing Yan
3.9 (22)
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Python for Finance

Python for Finance

3.9 (22)
By: Yuxing Yan

Overview of this book

A hands-on guide with easy-to-follow examples to help you learn about option theory, quantitative finance, financial modeling, and time series using Python. Python for Finance is perfect for graduate students, practitioners, and application developers who wish to learn how to utilize Python to handle their financial needs. Basic knowledge of Python will be helpful but knowledge of programming is necessary.
Table of Contents (14 chapters)
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13
Index

Finding an efficient portfolio and frontier

In this section, we show you how to use the Monte Carlo simulation to generate returns for a pair of stocks with known means, standard deviations, and correlation between them. By applying the maximize function, we minimize the portfolio risk of this two-stock portfolio. Then, we change the correlations between the two stocks to illustrate the impact of correlation on our efficient frontier. The last one is the most complex one since it constructs an efficient frontier based on n stocks.

Finding an efficient frontier based on two stocks

The following program aims at generating an efficient frontier based on two stocks with known means, standard deviations, and correlation. We have just six input values: two means, two standard deviations, the correlation (Finding an efficient frontier based on two stocks), and the number of simulations. To generate the correlated y1 and y2 time series, we generate the uncorrelated x1 and x2 series first. Then, we apply the following formulae:

Finding an efficient frontier based on two stocks
Finding an efficient frontier based on two stocks

Another important...

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83
Tech Concepts
36
Programming languages
73
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Python for Finance
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