/
Financial Data Analytics with Machine Learning, Optimization and Statistics

Financial Data Analytics with Machine Learning, Optimization and Statistics

by Sam Chen (Author), Ka Chun Cheung (Author), Phillip Yam (Author) & 0 more
★★★★★
★★★★★

5|1 ratings

Save 15%76.50$90.00
In Stock

FREE delivery Tuesday, June 24 Or fastest delivery Sunday, June 22. Order within 3 hrs 4 mins

76.50
FREE delivery Tuesday, June 24 Or fastest delivery Sunday, June 22. Order within 3 hrs 4 mins
In Stock
Secure transaction

Ships from and sold by Amazon.CA

An essential introduction to data analytics and Machine Learning techniques in the business sectorIn Financial Data Analytics with Machine Learning, Optimization and Statistics, a team consisting of a distinguished applied mathematician and statistician, experienced actuarial professionals and working data analysts delivers an expertly balanced combination of traditional financial statistics, effective machine learning tools, and mathematics. The book focuses on contemporary techniques used for data analytics in the financial sector and the insurance industry with an emphasis on mathematical understanding and statistical principles and connects them with common and practical financial problems. Each chapter is equipped with derivations and proofs―especially of key results―and includes several realistic examples which stem from common financial contexts. The computer algorithms in the book are implemented using Python and R, two of the most widely used programming languages for applied science and in academia and industry, so that readers can implement the relevant models and use the programs themselves.This book can help readers become well-equipped with the following skills:To evaluate financial and insurance data quality, and use the distilled knowledge obtained from the data after applying data analytic tools to make timely financial decisionsTo apply effective data dimension reduction tools to enhance supervised learningTo describe and select suitable data analytic tools as introduced above for a given dataset depending upon classification or regression prediction purposeThe book covers the competencies tested by several professional examinations, such as the Predictive Analytics Exam offered by the Society of Actuaries, and the Institute and Faculty of Actuaries' Actuarial Statistics Exam.Besides being an indispensable resource for senior undergraduate and graduate students taking courses in financial engineering, statistics, quantitative finance, risk management, actuarial science, data science, and mathematics for AI, Financial Data Analytics with Machine Learning, Optimization and Statistics also belongs in the libraries of aspiring and practicing quantitative analysts working in commercial and investment banking. Read more

Product Information

PublisherWiley
Publication dateNov. 13 2024
Edition1st
LanguageEnglish
Print length816 pages
ISBN-101119863376
ISBN-13978-1119863373
Item weight1.05 kg
Dimensions18.03 x 6.1 x 24.64 cm
Best Sellers Rank#116,326 in Books (See Top 100 in Books) #29 in Financial Engineering #50 in Computer Science Modelling & Simulation #58 in Statistics Textbooks
Customer Reviews5.0 5.0 out of 5 stars 1 rating

Similar Products