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Mastering R for Quantitative Finance

Mastering R for Quantitative Finance

By : Gabler
4 (11)
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Mastering R for Quantitative Finance

Mastering R for Quantitative Finance

4 (11)
By: Gabler

Overview of this book

This book is intended for those who want to learn how to use R's capabilities to build models in quantitative finance at a more advanced level. If you wish to perfectly take up the rhythm of the chapters, you need to be at an intermediate level in quantitative finance and you also need to have a reasonable knowledge of R.
Table of Contents (15 chapters)
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14
Index

Summary

In this chapter, we investigated how to use R to build an investment strategy on fundamental bases. After building and loading our database to R, we first checked whether some of our variables show a strong connection with TRS. Then, we checked whether some linear combinations of them would perform well and controlled them.

As neither method led to an acceptable result, we turned the logic upside down. We created clusters of firms based on TRS performance; then, we checked what is typical for overperformers. We also used decision trees to look for the best way to separate the firms with the highest TRS. Then, based on the results, we described stock-selection rules and performed backtesting.

Our example showed that even if individual explanatory variables show no strong linear connection to performance, it is possible to build an effective fundamental stock-selection strategy. When applying these techniques, recall the limitations: too much flexibility may hurt. A model with a nearly...

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