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Machine Learning for Finance

You're reading from   Machine Learning for Finance Principles and practice for financial insiders

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Product type Paperback
Published in May 2019
Publisher Packt
ISBN-13 9781789136364
Length 456 pages
Edition 1st Edition
Languages
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Authors (2):
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Jannes Klaas Jannes Klaas
Author Profile Icon Jannes Klaas
Jannes Klaas
James Le James Le
Author Profile Icon James Le
James Le
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Toc

Table of Contents (15) Chapters Close

Machine Learning for Finance
Contributors
Preface
Other Books You May Enjoy
1. Neural Networks and Gradient-Based Optimization 2. Applying Machine Learning to Structured Data FREE CHAPTER 3. Utilizing Computer Vision 4. Understanding Time Series 5. Parsing Textual Data with Natural Language Processing 6. Using Generative Models 7. Reinforcement Learning for Financial Markets 8. Privacy, Debugging, and Launching Your Products 9. Fighting Bias 10. Bayesian Inference and Probabilistic Programming Index

Deployment


Deployment into production is often seen as separate from the creation of models. At many companies, data scientists create models in isolated development environments on training, validation, and testing data that was collected to create models.

Once the model performs well on the test set, it then gets passed on to deployment engineers, who know little about how and why the model works the way it does. This is a mistake. After all, you are developing models to use them, not for the fun of developing them.

Models tend to perform worse over time for several reasons. The world changes, so the data you trained on might no longer represent the real world. Your model might rely on the outputs of some other systems that are subject to change. There might be unintended side effects and weaknesses of your model that only show with extended usage. Your model might influence the world that it tries to model. Model decay describes how models have a lifespan after which performance deteriorates...

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