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Mastering R for Quantitative Finance

You're reading from  Mastering R for Quantitative Finance

Product type Book
Published in Mar 2015
Publisher
ISBN-13 9781783552078
Pages 362 pages
Edition 1st Edition
Languages
Toc

Table of Contents (20) Chapters close

Mastering R for Quantitative Finance
Credits
About the Authors
About the Reviewers
www.PacktPub.com
Preface
1. Time Series Analysis 2. Factor Models 3. Forecasting Volume 4. Big Data – Advanced Analytics 5. FX Derivatives 6. Interest Rate Derivatives and Models 7. Exotic Options 8. Optimal Hedging 9. Fundamental Analysis 10. Technical Analysis, Neural Networks, and Logoptimal Portfolios 11. Asset and Liability Management 12. Capital Adequacy 13. Systemic Risks Index

Summary


In this chapter, we applied R to access data from open sources and perform various analyses on large datasets. The examples presented here aimed to be a practical guide to empirical researchers who handle a large amount of data.

First, we introduced useful methods for open source data integration. R has powerful options to directly access data for financial analysis without any prior data-management requirement. Second, we discussed how to handle big data in an R environment. Although R has fundamental limitations in handling large datasets and performing computationally intensive analyses and simulations, we introduced specific tools and packages that can bridge this gap. We presented two examples on how to perform K-means clustering and how to fit linear regression models on big data. This is the last chapter of the first part in this book. Next we will look at FX derivatives.

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