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Python for Finance

Python for Finance

By : Yuxing Yan
3.9 (22)
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Python for Finance

Python for Finance

3.9 (22)
By: Yuxing Yan

Overview of this book

A hands-on guide with easy-to-follow examples to help you learn about option theory, quantitative finance, financial modeling, and time series using Python. Python for Finance is perfect for graduate students, practitioners, and application developers who wish to learn how to utilize Python to handle their financial needs. Basic knowledge of Python will be helpful but knowledge of programming is necessary.
Table of Contents (14 chapters)
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13
Index

Chapter 12. Volatility Measures and GARCH

In finance, we know that risk is defined as uncertainty since we are unable to predict the future more accurately. Based on the assumption that prices follow a lognormal distribution and returns follow a normal distribution, we could define risk as standard deviation or variance of the returns of a security. We call this our conventional definition of volatility (uncertainty). Since a normal distribution is symmetric, it will treat a positive deviation from a mean in the same manner as it would a negative deviation. This is against our conventional wisdom since we treat them differently. To overcome this, Sortino (1983) suggests a lower partial standard deviation. Up to now, we assume that the volatility of a time series is a constant. Obviously this is not true. Another observation is volatility clustering, which means that high volatility is usually followed by a high-volatility period, and this is true for low volatility that is usually...

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