Produktbild: Quality Money Management

Quality Money Management Process Engineering and Best Practices for Systematic Trading and Investment

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Beschreibung

Produktdetails

Einband

Gebundene Ausgabe

Erscheinungsdatum

01.03.2008

Verlag

Academic Press

Seitenzahl

306

Maße (L/B/H)

26,1/19/2,7 cm

Gewicht

835 g

Sprache

Englisch

ISBN

978-0-12-372549-3

Beschreibung

Rezension

"Benjamin Van Vliet and Andrew Kumiega give a complete and methodological approach to building trading and investment systems. They cover all you need to know to understand back-testing and prototyping of trading algorithms. Our team had their methodology in mind when they designed our analytical tool, Resolver One, to ensure quality, reliability and consistency when developing trading systems from ideas through prototype to production. A one-stop book for building systematic trading and investment systems.”--Jean Viry-Babel, Head of Sales, ResolverSystems, London, United Kingdom

"I believe Kumiega and Van Vliet's blending of two disciplines - Quality and Finance - is the next step in the evolution of the financial industry. This approach will make financial processes more effective and efficient."--M. Zia Hassan, Fellow of the American Society for Quality, Dean Emeritus and Professor, Stuart School of Business, Chicago IL

"Andrew Kumiega, a manager in charge of software testing at a Chicago-based trading firm and co- author of 'Quality Money Management,' a book that discusses the importance of standards for financial technology, says he is not surprised by the software glitch suffered by Knight because automated trading is still a young industry. It has yet to establish industry-wide standards and frequently suffers from the cross-purposes of three competing groups: traders who view their primary goal as trading success while upholding securities regulations, programmers who focus on coding and creating well designed software, and quantitative analysts who hone in on the mathematics that underpin many trading software efforts. 'If you look at these three groups, the tactics they employ for effective software testing are all completely different,' Kumiega said."--Institutional Investor

Produktdetails

Einband

Gebundene Ausgabe

Erscheinungsdatum

01.03.2008

Verlag

Academic Press

Seitenzahl

306

Maße (L/B/H)

26,1/19/2,7 cm

Gewicht

835 g

Sprache

Englisch

ISBN

978-0-12-372549-3

Herstelleradresse

Libri GmbH
Europaallee 1
36244 Bad Hersfeld
DE

Email: gpsr@libri.de

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  • Produktbild: Quality Money Management
  • Contents
    Preface
    CHAPTER 1 Introduction
    CHAPTER 2 Key Concepts and Definitions of Terms
    CHAPTER 3 Overview of the Trading/Investment System Development Methodology
    CHAPTER 4 Managing Design and Development
    CHAPTER 5 Types of Trading Systems
    CHAPTER 6 Stage 0: The Money Document
    STAGE 1: Design and Document Trading/Investment Strategy
    CHAPTER 7 STAGE 1: Overview
    CHAPTER 8 Describe Trading/Investment Idea
    CHAPTER 9 Research Quantitative Methods
    CHAPTER 10 Prototype in Modeling Software
    CHAPTER 11 Check Performance
    CHAPTER 12 Gate 1
    STAGE 2: Backtest
    CHAPTER 13 STAGE 2: Overview
    CHAPTER 14 Gather Historical Data
    CHAPTER 15 Develop Cleaning Algorithms
    CHAPTER 16 Perform In - Sample / Out - of - Sample Tests
    CHAPTER 17 Check Performance and Shadow Trade
    CHAPTER 18 Gate 2
    STAGE 3: Implement
    CHAPTER 19 STAGE 3: Overview
    CHAPTER 20 Plan and Document Technology Specifications
    CHAPTER 21 Design System Architecture
    CHAPTER 22 Build and Document the System
    CHAPTER 23 Check Performance and Probationary Trade
    CHAPTER 24 Gate 3
    STAGE 4: Manage Portfolio and Risk
    CHAPTER 25 STAGE 4: Overview
    CHAPTER 26 Plan Performance and Risk Processes
    CHAPTER 27 Define Performance Controls
    CAHPTER 28 Perform SPC Analysis
    CHAPTER 29 Determine Causes of Variation
    CHAPTER 30 Kaizen: Continuous Improvement