English | Size: 3.14 GB
Genre: eLearning
Everything you need to know to get started as a quant trader
What you’ll learn
Learn the fundamentals of quantitative trading
Analyze liquidity and market impact from tick data
Understand optimal execution of orders
Master the mathematical foundations of quant trading
In this course, we put a definite emphasis on real-world cases and hands-on experience. Each section starts with an analysis of tick data and/or a numerical simulation, from which we develop an intuition for what the right approach should be. You get to download the Python scripts and data samples, and start experimenting with them right away.
Then, we introduce theoretical tools and models as needed — always explained from first principles and fully worked-out computations — in order to solve the particular problem studied in the section and get a deeper understanding of all its aspects.
Let’s dive right in!
Contents:
Order book: Statistics, Dynamics, and Modeling
1.1 Book size and shape — empirical observations
1.2 Diffusion models of the order book
1.3 The Bouchaud-Mézard-Potters model
Liquidity Provision: Market-Making and the Avellaneda-Stoikov Model
2.1 A basic market-making strategy; Fundamental rules of market-making
2.2 The Avellaneda-Stoikov model
Market Impact, Spread, Liquidity
3.1 Measuring market impact on trade data
3.2 A simple market impact model without feedback
3.3 A comprehensive model with feedback
Optimal Execution
4.1 The liquidation problem: numerical experiments
4.2 The case without drift: a stochastic control approach
4.3 The case with drift
Who this course is for:
Students in science or finance programs
Developers / Quants who want to branch out into, or learn more about, quant trading
Anyone who’s curious about the foundations of systematic, quant trading
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