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Python for Finance

You're reading from   Python for Finance Apply powerful finance models and quantitative analysis with Python

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Product type Paperback
Published in Jun 2017
Publisher
ISBN-13 9781787125698
Length 586 pages
Edition 2nd Edition
Languages
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Author (1):
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Yuxing Yan Yuxing Yan
Author Profile Icon Yuxing Yan
Yuxing Yan
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Table of Contents (17) Chapters Close

Preface 1. Python Basics FREE CHAPTER 2. Introduction to Python Modules 3. Time Value of Money 4. Sources of Data 5. Bond and Stock Valuation 6. Capital Asset Pricing Model 7. Multifactor Models and Performance Measures 8. Time-Series Analysis 9. Portfolio Theory 10. Options and Futures 11. Value at Risk 12. Monte Carlo Simulation 13. Credit Risk Analysis 14. Exotic Options 15. Volatility, Implied Volatility, ARCH, and GARCH Index

Generating random numbers from a standard normal distribution

Normal distributions play a central role in finance. A major reason is that many finance theories, such as option theory and their related applications, are based on the assumption that stock returns follow a normal distribution. The second reason is that if our econometric models are well designed, the error terms from the models should follow a zero-mean normal distribution. It is a common task that we need to generate n random numbers from a standard normal distribution. For this purpose, we have the following three lines of code:

import scipy as sp
x=sp.random.standard_normal(size=10)
print(x)
[-0.98350472  0.93094376 -0.81167564 -1.83015626 -0.13873015  0.33408835
  0.48867499 -0.17809823  2.1223147   0.06119195]

The basic random numbers in SciPy/NumPy are created by Mersenne Twister PRNG in the numpy.random function. The random numbers for distributions in numpy.random are in cython/pyrex and are pretty fast. There is no...

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