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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

Exercises

1. What is the definition of volatility?

2. How can you measure risk (volatility)?/

3. What are the issues related to the widely used definition of risk (standard deviation)?

4. How can you test whether stock returns follow a normal distribution? For given sets of stocks, test whether they follow a normal distribution.

5. What is the lower partial standard deviation? What are its applications?

6. Choose five stocks, such as DELL, IBM, Microsoft, Citi Group, and Walmart, and compare their standard deviation with LPSD based on the last three-years' daily data.

7. Is a stock's volatility constant over the years?

8. Use the Breusch-Pagan (1979) test to confirm or reject the hypothesis that daily returns for IBM is homogeneous.

9. How can you test whether a stock's volatility is constant?

10. What does "fat tail" mean ? Why should we care about fat tail?

11. How can you download the option data?

12. What is an ARCH (1) process?

13. What is a GARCH (1,1) process?

14. Apply...

CONTINUE READING
83
Tech Concepts
36
Programming languages
73
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Python for Finance
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