English | December 7, 2024 | ASIN: B0DPTR8BTQ | 418 pages | EPUB | 1.33 Mb
Reactive Publishing.
Take your options trading expertise to the next level with Advanced Options Strategies and Portfolio Management with Python. This comprehensive guide bridges the gap between theoretical knowledge and real-world application, empowering you to harness sophisticated options strategies and manage risk effectively in volatile markets.
Key Features
• Detailed explanations of advanced options strategies tailored to different market conditions.
• Python code examples and projects for backtesting, strategy development, and real-time trading.
• Portfolio management techniques, including hedging and scenario analysis.
• Insights into volatility trading, statistical arbitrage, and managing tail risks.
• Practical guidance for integrating APIs and building automated trading systems.
Designed for options traders, quantitative analysts, and Python enthusiasts,Advanced Options Strategies and Portfolio Management with Python equips you with actionable strategies and the programming know-how to thrive in the fast-paced world of algorithmic options trading.