The Quantum Portfolio: Risk, Return, and the Future of Financial Decision-Making: A Comprehensive Guide 2025
暫譯: 量子投資組合:風險、回報與金融決策的未來:2025年綜合指南

Van Der Post, Hayden, Publishing, Reactive, Schwartz, Alice

  • 出版商: Independently Published
  • 出版日期: 2025-02-26
  • 售價: $970
  • 貴賓價: 9.8$950
  • 語言: 英文
  • 頁數: 364
  • 裝訂: Quality Paper - also called trade paper
  • ISBN: 9798312240801
  • ISBN-13: 9798312240801
  • 相關分類: Fintech
  • 海外代購書籍(需單獨結帳)

相關主題

商品描述

Reactive Publishing

Unlock the future of financial decision-making with The Quantum Portfolio: Risk, Return, and the Future of Financial Decision-Making. This forward-thinking guide explores the intersection of advanced portfolio management, machine learning, and quantum computing to help you navigate the complexities of modern finance. From risk management and asset allocation to predictive analytics and deep learning, this book provides practical, data-driven insights that will transform the way you approach financial markets.

Key Features:

  • Modern Portfolio Theory Reimagined: Discover advanced techniques for optimizing portfolios and managing risk using both traditional and cutting-edge methods, including machine learning and quantum computing.
  • Risk Management Excellence: Master risk management strategies such as Value at Risk (VaR), stress testing, and volatility forecasting to protect and grow your investments.
  • Machine Learning for Financial Forecasting: Learn how machine learning models can predict asset returns, volatility, and correlations to improve asset allocation and decision-making.
  • The Quantum Leap in Finance: Explore how quantum computing can revolutionize financial models, optimize portfolio management, and enhance predictive accuracy.
  • Real-World Applications: Work through practical case studies, coding exercises, and actionable strategies that can be implemented in real-time for financial forecasting and portfolio optimization.

What You'll Learn:

  • Portfolio Optimization Techniques: Gain a deep understanding of mean-variance optimization, efficient frontier, and multi-asset portfolio strategies.
  • Advanced Risk Management: Learn how to assess and mitigate financial risks using advanced models, including Monte Carlo simulations, VaR, and Conditional VaR.
  • Predictive Analytics with AI: Use deep learning models, time-series forecasting, and reinforcement learning to predict market trends and enhance your financial decisions.
  • Quantum Computing in Finance: Understand the potential of quantum computing in portfolio optimization, asset pricing, and risk analysis.
  • Real-World Applications for Investors: Apply theoretical concepts to real-world scenarios using Python, machine learning tools, and quantum-inspired algorithms to improve investment outcomes.

Who This Book is For:

  • Investment Managers & Asset Managers: Professionals looking to optimize portfolio strategies and improve risk management using machine learning and quantum computing.
  • Quantitative Analysts & Data Scientists: Anyone interested in applying cutting-edge predictive models and risk management techniques to financial markets.
  • Tech Enthusiasts & Innovators: Individuals eager to understand the role of quantum computing and AI in the future of finance.
  • Advanced Finance Students & Professionals: Those seeking to advance their knowledge in finance through the lens of modern computational tools and technologies.

In The Quantum Portfolio, you'll learn to combine time-tested financial theories with the latest technological innovations to create smarter portfolios and manage risks in ways previously unimagined. Whether you're a finance professional or a tech-savvy investor, this book will equip you with the tools to succeed in the next generation of financial markets.

Embrace the future of finance-optimize your portfolio with cutting-edge strategies today!

商品描述(中文翻譯)

反應式出版

透過量子投資組合:風險、回報與金融決策的未來,解鎖金融決策的未來。本書探索先進投資組合管理、機器學習與量子計算的交集,幫助您駕馭現代金融的複雜性。從風險管理和資產配置到預測分析和深度學習,本書提供實用的數據驅動見解,將改變您對金融市場的看法。

主要特點:



  • 現代投資組合理論的重新構想: 探索使用傳統和尖端方法(包括機器學習和量子計算)來優化投資組合和管理風險的先進技術。


  • 卓越的風險管理: 精通風險管理策略,如風險價值(VaR)、壓力測試和波動性預測,以保護和增長您的投資。


  • 金融預測中的機器學習: 學習如何利用機器學習模型預測資產回報、波動性和相關性,以改善資產配置和決策。


  • 金融領域的量子飛躍: 探索量子計算如何徹底改變金融模型、優化投資組合管理並提高預測準確性。


  • 實際應用: 通過實用案例研究、編碼練習和可實時實施的可行策略,進行金融預測和投資組合優化。

您將學到的內容:



  • 投資組合優化技術: 深入了解均值-方差優化、有效邊界和多資產投資組合策略。


  • 先進的風險管理: 學習如何使用先進模型(包括蒙地卡羅模擬、VaR和條件VaR)來評估和減輕金融風險。


  • 使用AI的預測分析: 利用深度學習模型、時間序列預測和強化學習來預測市場趨勢並增強您的金融決策。


  • 金融中的量子計算: 了解量子計算在投資組合優化、資產定價和風險分析中的潛力。


  • 投資者的實際應用: 使用Python、機器學習工具和量子啟發算法將理論概念應用於現實場景,以改善投資結果。

本書適合誰:



  • 投資經理與資產經理: 尋求使用機器學習和量子計算來優化投資組合策略和改善風險管理的專業人士。


  • 量化分析師與數據科學家: 任何有興趣將尖端預測模型和風險管理技術應用於金融市場的人。


  • 科技愛好者與創新者: 渴望了解量子計算和AI在金融未來中的角色的個人。


  • 高級金融學生與專業人士: 希望通過現代計算工具和技術的視角來提升金融知識的人。

量子投資組合中,您將學會將經典的金融理論與最新的技術創新相結合,以創建更智能的投資組合並以以前未曾想像的方式管理風險。無論您是金融專業人士還是精通科技的投資者,本書都將為您提供在下一代金融市場中成功所需的工具。

擁抱金融的未來—今天就用尖端策略優化您的投資組合!