Machine Learning for Asset Managers

(Autor) Marcos M. Lopez de Prado
Formato: Paperback
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Successful investment strategies are specific implementations of general theories. An investment strategy that lacks a theoretical justification is likely to be false. Hence, an asset manager should concentrate her efforts on developing a theory rather than on backtesting potential trading rules. The purpose of this Element is to introduce machine learning (ML) tools that can help asset managers discover economic and financial theories. ML is not a black box, and it does not necessarily overfit. ML tools complement rather than replace the classical statistical methods. Some of ML's strengths include (1) a focus on out-of-sample predictability over variance adjudication; (2) the use of computational methods to avoid relying on (potentially unrealistic) assumptions; (3) the ability to "learn" complex specifications, including nonlinear, hierarchical, and noncontinuous interaction effects in a high-dimensional space; and (4) the ability to disentangle the variable search from the specification search, robust to multicollinearity and other substitution effects.

Information
Editorial:
Cambridge University Press
Formato:
Paperback
Número de páginas:
None
Idioma:
en
ISBN:
9781108792899
Año de publicación:
2020
Fecha publicación:
30 de Abril de 2020

Marcos M. Lopez de Prado

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