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Mastering Python for Finance

You're reading from   Mastering Python for Finance Understand, design, and implement state-of-the-art mathematical and statistical applications used in finance with Python

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Product type Paperback
Published in Apr 2015
Publisher Packt
ISBN-13 9781784394516
Length 340 pages
Edition 1st Edition
Languages
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Toc

Table of Contents (12) Chapters Close

Preface 1. Python for Financial Applications FREE CHAPTER 2. The Importance of Linearity in Finance 3. Nonlinearity in Finance 4. Numerical Procedures 5. Interest Rates and Derivatives 6. Interactive Financial Analytics with Python and VSTOXX 7. Big Data with Python 8. Algorithmic Trading 9. Backtesting 10. Excel with Python Index

An introduction to root-finding


In the preceding section, we discussed some nonlinear models commonly used for studying economics and financial time series. From the model data given in continuous time, the intention is therefore to search for the extrema that could possibly infer valuable information. The use of numerical methods, such as root-finding algorithms, can help us find the roots of a continuous function such that , which can either be the maxima or the minima of the function. In general, an equation may either contain a number of roots or none at all.

One example of the use of root-finding methods on nonlinear models is the Black-Scholes implied volatility modeling discussed earlier. An option trader would be interested in deriving implied prices based on the Black-Scholes model and comparing them with the market prices. In the next chapter, we will see how we can combine a root-finding method with a numerical option pricing procedure to create an implied volatility model based...

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