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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

Linear optimization


In the CAPM and APT pricing theories, we assumed linearity in the models and solved for expected security prices using regressions in Python.

As the number of securities in our portfolio increases, certain limitations are introduced as well. A portfolio manager would find himself constrained by these rules in pursing certain objectives mandated by investors.

Linear optimization helps you overcome the problem of portfolio allocation. Optimization focuses on minimizing or maximizing the value of the objective functions. The examples are maximizing returns and minimizing volatility. These objectives are usually governed by certain regulations, such as no short-selling rule, limits on the number of securities to be invested, and so on.

Unfortunately, in Python there is no single official package that supports this solution. However, there are third-party packages available with the implementation of the simplex algorithm for linear programming. For the purpose of this demonstration...

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