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Python for Finance Cookbook

You're reading from   Python for Finance Cookbook Over 50 recipes for applying modern Python libraries to financial data analysis

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Product type Paperback
Published in Jan 2020
Publisher Packt
ISBN-13 9781789618518
Length 432 pages
Edition 1st Edition
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Author (1):
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Eryk Lewinson Eryk Lewinson
Author Profile Icon Eryk Lewinson
Eryk Lewinson
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Table of Contents (12) Chapters Close

Preface 1. Financial Data and Preprocessing 2. Technical Analysis in Python FREE CHAPTER 3. Time Series Modeling 4. Multi-Factor Models 5. Modeling Volatility with GARCH Class Models 6. Monte Carlo Simulations in Finance 7. Asset Allocation in Python 8. Identifying Credit Default with Machine Learning 9. Advanced Machine Learning Models in Finance 10. Deep Learning in Finance 11. Other Books You May Enjoy

Modeling Volatility with GARCH Class Models

In Chapter 3, Time Series Modeling, we looked at various approaches to modeling time series. However, models such as ARIMA (Autoregressive Integrated Moving Average) cannot account for volatility that is not constant over time (heteroskedastic). We have already explained that some transformations (such as log or Box-Cox transformations) can be used to adjust for modest changes in volatility, but we would like to go a step further, and model it.

In this chapter, we focus on conditional heteroskedasticity, which is a phenomenon caused when an increase in volatility is correlated with a further increase in volatility. An example might help to understand this concept. Imagine the price of an asset going down significantly—due to some breaking news related to the company. Such a sudden price drop could trigger certain risk management...

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