Isbn: 9798188185442 - python for advanced algorithmic trading part 2: volatility, risk and portfolios (3 resultados)

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  • Idioma: Inglés

    Editorial: Independently published, 2026

    9798188185442

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    Librería: PBShop.store UK, Fairford, GLOS, Reino UnidoPBShop.store UK

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    Condición: Nuevo

    EUR 17,58

    Envío por EUR 4,87 
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    Cantidad disponible: Más de 20 disponibles

    PAP. Condición: New. New Book. Shipped from UK. Established seller since 2000.

  • Idioma: Inglés

    Editorial: Independently published, 2026

    9798188185442

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    Librería: California Books, Miami, FL, Estados Unidos de AmericaCalifornia Books

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    Condición: Nuevo

    EUR 18,19

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    Cantidad disponible: Más de 20 disponibles

    Condición: New. Print on Demand.

  • Idioma: Inglés

    Editorial: Independently Published, 2026

    9798188185442

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    Librería: CitiRetail, Stevenage, Reino UnidoCitiRetail

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    Condición: Nuevo

    EUR 21,09

    Envío por EUR 43,33 
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    Cantidad disponible: 1 disponible

    Paperback. Condición: new. Paperback. **Book 2 of the Python Series for Algorithmic Trading Advanced **## Have strategies that They work in backtesting but Do they fail in production ? Your problem isn't yours strategies . It's that tea The system is missing . professional ** to validate them, manage risk and combine them intelligently .### Which you will learn in this book: ** Modeling Advanced Volatility **Master ATR, GARCH, and regime detection with clustering . Predict volatility before happen .** Strategies Adaptive by Regime **Build systems that change automatically: high reversion volatility, downward momentum volatility, and volatility breakouts.** Risk Management Dynamics **Forget the " fixed 1% ". Learn position sizing based on ATR, adaptive trailing stops, and portfolio - level risk management .** Backtesting Robust and Anti- Overfitting **Walk-Forward Analysis, Monte Carlo and significance tests statistics to demonstrate that your The results are real, not luck .** Cases Practical Royal **Systems Complete for EUR/GBP, Gold (XAU/USD) and Silver (XAG/USD) with ready -to- use Python code .** Multi - Strategy Portfolio Building **Combine uncorrelated strategies Using Risk Parity and Kelly Criterion. Reduces drawdown and smooths you equity curve .### For whom is this book ? Knowledgeable traders Python basics and algorithmic trading People who already they have read ** Book 1: Opening and Gap Strategies ** ( highly recommended ) Traders who they want moving from strategies individual to systems portfolio professionals ### Requirements: - Python level intermediate (Pandas, NumPy )- Knowledge basics of algorithmic trading- To have built at least a strategy with backtesting### Results that You will get: When finished this book, you will have built: - A system complete volatility measurement and prediction- Strategies adaptive that They work in different ways. market regimes- A risk management framework dynamic based on ATR- A multi- strategy portfolio diversified with Calmar Ratio > 3.0Stop trading on hope . Start trading on statistics .** Author: ** Tirso Diaz Diaz (TIRSODD)** Code Complete: * * Available free on GitHub ** Level: ** Intermediate -Advanced* Warning: Algorithmic trading entails risks significant . This book is exclusively Educational . Operates under you own responsibility.* This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. …