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Reinforcement Learning in Finance
Coursera
Course
Unknown

Reinforcement Learning in Finance

New York University

Explore fundamental concepts of reinforcement learning and its applications in option valuation, trading, and asset management.

Unknown4 weeksEnglish22,660 enrolled

About this Course

This course aims at introducing the fundamental concepts of Reinforcement Learning (RL), and develop use cases for applications of RL for option valuation, trading, and asset management. By the end of this course, students will be able to - Use reinforcement learning to solve classical problems of Finance such as portfolio optimization, optimal trading, and option pricing and risk management. - Practice on valuable examples such as famous Q-learning using financial problems. - Apply their knowledge acquired in the course to a simple model for market dynamics that is obtained using reinforcement learning as the course project. Prerequisites are the courses "Guided Tour of Machine Learning in Finance" and "Fundamentals of Machine Learning in Finance". Students are expected to know the lognormal process and how it can be simulated. Knowledge of option pricing is not assumed but desirable

What You'll Learn

  • Use reinforcement learning to solve classical finance problems such as portfolio optimization, trading, and option pricing
  • Practice Q-learning techniques with financial problem examples
  • Apply reinforcement learning concepts in a market dynamics model project

Prerequisites

  • Prior experience with core machine learning concepts in finance
  • Ability to independently apply key tools and methods

Instructors

I

Igor Halperin

Topics

Machine Learning
Data Science
Algorithms
Computer Science
Financial Modeling
Financial Trading
Markov Model
Portfolio Management
Machine Learning Methods
Risk Management

Course Info

PlatformCoursera
LevelUnknown
PacingUnknown
PriceFree

Skills

تعلم الآلة
علوم البيانات
الخوارزميات
علوم الحاسب
النمذجة المالية
التداول المالي
نماذج ماركوف
إدارة المحافظ
Machine Learning Methods
Risk Management

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