Simulation, Optimization, and Machine Learning for Finance, Second Edition
暫譯: 金融的模擬、優化與機器學習(第二版)

Pachamanova, Dessislava A., Fabozzi, Frank J., Fabozzi, Francesco A.

  • 出版商: MIT
  • 出版日期: 2025-09-09
  • 售價: $5,480
  • 貴賓價: 9.5$5,206
  • 語言: 英文
  • 頁數: 672
  • 裝訂: Hardcover - also called cloth, retail trade, or trade
  • ISBN: 0262049805
  • ISBN-13: 9780262049801
  • 相關分類: Machine Learning
  • 海外代購書籍(需單獨結帳)

商品描述

作者簡介

Dessislava A. Pachamanova is Professor and Zwerling Family Endowed Term Chair at Babson College and Research Affiliate at the Massachusetts Institute of Technology. She is coauthor of Robust Portfolio Optimization and Management and Portfolio Construction and Analytics.

Frank J. Fabozzi is Professor of Practice in Finance at Johns Hopkins' Carey Business School, author of Introduction to Fixed-Income Analysis and Portfolio Management; Capital Markets, sixth edition; and Entrepreneurial Finance and Accounting for High-Tech Companies, and coauthor of Bond Markets, Analysis, and Strategies, tenth edition; Foundations of Global Financial Markets and Institutions; and The Economics of FinTech, all published by the MIT Press.

Francesco A. Fabozzi is Research Director at Yale School of Management's International Center for Finance. He serves as the Managing Editor of The Journal of Financial Data Science and the Director of Data Science at the CFA Institute Research Foundation and is the coauthor of six books in asset management and corporate finance.

作者簡介(中文翻譯)

德西斯拉瓦·A·帕查馬諾娃是巴布森學院的教授及茲維林家族捐贈的任期主席,並且是麻省理工學院的研究夥伴。她是穩健的投資組合優化與管理投資組合建構與分析的共同作者。

法蘭克·J·法博齊是約翰霍普金斯大學凱瑞商學院的金融實務教授,著作包括固定收益分析與投資組合管理導論;資本市場,第六版;以及高科技公司的創業金融與會計,並且是債券市場、分析與策略,第十版全球金融市場與機構基礎;以及金融科技經濟學的共同作者,這些書籍均由麻省理工學院出版社出版。

法蘭西斯科·A·法博齊是耶魯管理學院國際金融中心的研究主任。他擔任金融數據科學期刊的主編,以及CFA協會研究基金會的數據科學主任,並且是六本資產管理和企業金融書籍的共同作者。

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