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Michael Robbins

Quantitative Asset Management: Factor Investing and Machine Learning for Institutional Investing

Quantitative Asset Management: Factor Investing and Machine Learning for Institutional Investing

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  • More about Quantitative Asset Management: Factor Investing and Machine Learning for Institutional Investing


Quantitative Asset Management combines factor investing and data science, such as machine learning and applied to big data, to provide a toolkit for investing and real-world details such as currency controls, market impact, and taxes. It walks readers through the entire investing process, from designing goals to planning, research, implementation, and testing, and risk management.

Format: Hardback
Length: 496 pages
Publication date: 04 August 2023
Publisher: McGraw-Hill Education


Whether you are managing institutional portfolios or private wealth,augment your asset allocation strategy with machine learning and factor investing for unprecedented returns and growth.

In a straightforward and unambiguous fashion, Quantitative Asset Management shows how to take join factor investing and data science—machine learning and applied to big data. Using instructive anecdotes and practical examples,including quiz questions and a companion website with working code,this groundbreaking guide provides a toolkit to apply these modern tools to investing and includes such real-world details as currency controls,market impact,and taxes. It walks readers through the entire investing process,from designing goals to planning,research,implementation,and testing,and risk management. Inside,you'll find:

Cutting edge methods married to the actual strategies used by the most sophisticated institutions.

Real-world investment processes as employed by the largest investment companies.

A toolkit for investing as a professional.

Clear explanations of how to use modern quantitative methods to analyze investing options.

An accompanying online site with coding and apps.

Written by a seasoned financial investor who uses technology as a tool—as opposed to a technologist who invests— Quantitative Asset Management explains the authors methods without oversimplification or confounding theory and math. Quantitative Asset Management demonstrates how leading institutions use Python and MATLAB to build alpha and risk engines,including optimal multi-factor models,contextual nonlinear models,multi-period portfolio implementation,and much more to manage multibillion-dollar portfolios.

Big data combined with machine learning provide amazing opportunities for institutiona.

Weight: 746g
Dimension: 164 x 236 x 44 (mm)
ISBN-13: 9781264258444

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