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  • Book Overview & Buying Mastering Python for Finance
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Mastering Python for Finance

Mastering Python for Finance

3.3 (7)
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Mastering Python for Finance

Mastering Python for Finance

3.3 (7)

Overview of this book

If you are an undergraduate or graduate student, a beginner to algorithmic development and research, or a software developer in the financial industry who is interested in using Python for quantitative methods in finance, this is the book for you. It would be helpful to have a bit of familiarity with basic Python usage, but no prior experience is required.
Table of Contents (12 chapters)
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11
Index

Examples of nonlinear models


Many nonlinear models have been proposed for academic and applied research to explain certain aspects of economic and financial data that are left unexplained by linear models. The literature on nonlinearity in finance is simply too broad and deep to be adequately explained in this book. In this section, we will just briefly discuss some examples of nonlinear models that we may possibly come across for practical uses: the implied volatility model, Markov-switching model, threshold model, and smooth transition model.

The implied volatility model

Perhaps one of the most widely studied option pricing models is the Black-Scholes-Merton model, or simply the Black-Scholes model in short. A call (put) option is a right, not an obligation, to buy (sell) the underlying security at a particular price and at a particular time. The Black-Scholes model helps determine the fair price of an option with the assumption that returns of the underlying security are normally distributed...

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