国际量化金融分析师CQF21 - 猎人搜索 轻松搜寻全网资源

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  • file:1. Python_for_Finance__Mastering_Data-Driven_Finance_(1).pdf
  • file:9. Derivatives_Models_on_Models.pdf
  • file:2. Asset Price Dynamics, Volatility, and Prediction Stephen J. Taylor 2005.pdf
  • file:3. 4. 5. Paul Wilmott on Quantitative Finance Vol 1-3, 2nd Ed.pdf
  • file:7. frequently asked questions in quantitative finance 2nd edition.pdf
  • file:10. paul wilmott introduces quantitative finance.pdf
  • file:6. (The_Wiley_Finance_Series)_Jon_Gregory-The_xVA_Challenge__Counterparty_Credit_Risk,_Funding,_Collateral,_and_Capital-Wiley_(2015).pdf
  • file:11. Machine Learning.pdf
  • file:8.Jackel- Monte-Carlo Methods In Finance帝国理工.pdf
  • file:CQF_Extra_HB_Update_on_Financial_Markets_and_Strategies_Part03.flv
  • file:CQF_June_2012_M6S8_HB_Speculation_Using_Energy_Derivatives_Trading_Part03.flv
  • file:CQF_June_2012_M6S8_Blank_Updated.pdf
  • file:CQF_Alumni_Volatility_Arbitrage_and_How_to_Hedge_Excel.xls
  • file:CQF_Alumni_HB_How_To_Hedge_Part05.flv
  • file:Alternative-Data-for-Investors.pdf
  • file:CQF_Alumni_Covariance_Complexity_and_Rates_of_Return_on_Assets_Part02_HD.mp4
  • file:CQF_Alumni_HB_Financial_Modelling_using_Garch_Processes_Part03.flv
  • file:CQF_Alumni_HB_Investment_Lessons_from_Gambling_and_Blackjack_Part03.flv
  • file:CQF_Alumni_Introduction_to_Money_Markets_Part04_HB.mp4
  • file:CQF_Elective_HB_Advanced_Volatility_Modelling_Part01.mp4
  • file:CQF_Extra_HB_Discrete_Hedging_and_Transaction_Costs_Part01.mp4
  • file:CQF_Alumni_The_Market_Price_of_Risk_Fear_and_Greed_in_the_Fixed_Income_Markets_Annotated.pdf
  • file:CQF_Alumni_HB_A_Market_Impact_Model_that_Works.mp4
  • file:CQF_Alumni_HB_A_Response_to_Professor_Paul_A_Samuelsons_Objections_to_Kelly_Capital_Growth_Part01.flv
  • file:CDO_class.xls
  • file:CQF_Alumni_Correlation_Sensitivity_and_State_Dependence_Annotated02.pdf
  • file:CQF_Alumni_Volatility_Models_The_ARCH_Framework_Excel.zip
  • file:CQF_Alumni_HB_Symmetric_Downside_Sharpe_Ratio_Part01.flv
  • folder:国际量化金融分析师CQF21
  • folder:课本
  • folder:CQF 交易策略Trading Strategies
  • folder:CQF 高级进阶课 Advanced Course
  • folder:高级选修课
  • folder:CQF 主课程 Core Program
  • folder:Update on Financial Markets and Strategies - William Ziemba
  • folder:Speculation Using Energy Derivatives (Trading) - Iris Mack
  • folder:Volatility Arbitrage and How to Hedge - Paul Wilmott
  • folder:Covariance Complexity and Rates of Return on Assets – Leonard McClean
  • folder:Financial Modelling using Garch Processes - Kyriakos Chourdakis
  • folder:Investment Lessons from Gambling and Blackjack - Paul Wilmott
  • folder:CQF Finance Primer - Introduction to Money Markets
  • folder:Advanced Volatility Modeling - Riaz Ahmad
  • folder:Discrete Hedging and Transaction Costs - Paul Wilmott
  • folder:The Market Price of Risk - Fear and greed in the fixed-income markets - Paul Wilmott
  • folder:A Market Impact Model that Works - Dan di Bartolomeo
  • folder:A Response to Professor Paul A. Samuelson's Objections to Kelly Capital Growth - William Ziemba
  • folder:Correlation Sensitivity and State Dependence - Paul Wilmott and SiYi Zhou
  • folder:Volatility Models The ARCH Framework - Stephen Taylor
  • folder:Symmetric Downside Sharpe Ratio - William Ziemba
  • folder:Valuation framework for interest rate derivatives in today's Libor world - Wojciech Slusarski
  • folder:Life of a Trader - Ed Talisse
  • folder:The Impact of Carry and Roll-Down on Macro Returns - Hari Krishnan
  • folder:The Kelly Strategy for Investing - Risk and Reward – Leonard MacLean
  • folder:The Second Leg Down - Strategies for Surviving a Market Sell Off - Hari Krishnan
  • folder:Quant Methods
  • folder:Asset Liability Models That are Useful in Practice - William Ziemba
  • folder:ICA and Hedge Fund Returns - Andrew Robinson
  • folder:Fundamentals of Optimization and Application to Portfolio Selection - Seb Lleo
  • folder:Advanced Portfolio Management - Seb Lleo
  • folder:Quantative Methods in the Financial Markets - Riaz Ahmad
  • folder:Equity Portfolio Risk Management - Jason MacQueen
  • folder:The Trade Lifecycle
  • folder:Navigating Stock Market Crashes – Bill Ziemba
  • folder:Quantifying Fissures in the US High Yield Market - Hari P. Krishnan
  • folder:Frankenstein's Model or the Perfect Union - Richard Young & Jason MacQueen
  • folder:CQF Finance Primer - Capital Markets in Fundamentals
  • folder:Prediction of Stock Market Crashes, Entry Exits from Bubbles, Hedge Fund Disasters and their Prevention - Bill Ziemba
  • folder:Average and Superior Hedge Fund Evaluation-Bill Ziemba
  • folder:Cointegration and Statistical Arbitrage - Richard Diamond
  • folder:数学前导讲义
  • folder:Math Primer
  • folder:Python代码
  • folder:Strongly Path Dependent Options
  • folder:Behavioural Models and Sentiment Analysis Applied to Finance
  • folder:Barrier Options
  • folder:Intraday High Frequency Trading
  • folder:Capital Structure
  • folder:Finite Difference Model
  • folder:Market Microstructure Liquidity and Trading
  • folder:CQF 2021 高级选修课 Advanced Electives Algorithm and High Frequency Trading En Ch EV Ecn
  • folder:高级选修课 Advanced Electives Updates En Ch EV Ecn
  • folder:课程版本一(推荐)
  • folder:CQF Final Project Solutions(看完M6的实训项目)
  • folder:CQF 普通话辅导课 Mandarin Tutorial Workshop En Ch EV Ecn
分享时间 2025-10-28
入库时间 2025-11-06
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