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Foundations of Reinforcement Learning with Applications in Finance

Jezik AngleščinaAngleščina
E-knjiga Adobe ePub DRM
E-knjiga Foundations of Reinforcement Learning with Applications in Finance Ashwin Rao
Koda Libristo: 42055302
Založba Chapman and Hall/CRC, december 2022
Foundations of Reinforcement Learning with Applications in Finance aims to demystify Reinforcement L... Celoten opis
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Foundations of Reinforcement Learning with Applications in Finance aims to demystify Reinforcement Learning, and to make it a practically useful tool for those studying and working in applied areas - especially finance.Reinforcement Learning is emerging as a powerful technique for solving a variety of complex problems across industries that involve Sequential Optimal Decisioning under Uncertainty. Its penetration in high-profile problems like self-driving cars, robotics, and strategy games points to a future where Reinforcement Learning algorithms will have decisioning abilities far superior to humans. But when it comes getting educated in this area, there seems to be a reluctance to jump right in, because Reinforcement Learning appears to have acquired a reputation for being mysterious and technically challenging.a This book strives to impart a lucid and insightful understanding of the topic by emphasizing the foundational mathematics and implementing models and algorithms in well-designed Python code, along with robust coverage of several financial trading problems that can be solved with Reinforcement Learning. This book has been created after years of iterative experimentation on the pedagogy of these topics while being taught to university students as well as industry practitioners.FeaturesFocus on the foundational theory underpinning Reinforcement Learning and software design of the corresponding models and algorithmsSuitable as a primary text for courses in Reinforcement Learning, but also as supplementary reading for applied/financial mathematics, programming, and other related coursesSuitable for a professional audience of quantitative analysts or data scientistsBlends theory/mathematics, programming/algorithms and real-world financial nuances while always striving to maintain simplicity and to build intuitive understanding.

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