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Quant. Finance SE
@StackQuant
A Q&A site for finance professionals and academics
The Stack Exchange network
Joined January 2011
0
Following
1.8K
Followers
6.8K
Posts
Quant. Finance SE
@StackQuant
over 3 years ago
Can you answer this? Working with wide bid ask spreads in option pricing model https://t.co/2YHHcp08wQ
#options
Quant. Finance SE
@StackQuant
over 3 years ago
Can you answer this? Dealing with the inventory risk: solution with drift https://t.co/XxmzMzqSGS
#highfrequency
Quant. Finance SE
@StackQuant
over 3 years ago
How to compute forward swap rates? https://t.co/A62F1LBKtg
#interestrateswap
Quant. Finance SE
@StackQuant
over 3 years ago
Simple strategies for tail risk hedging that retail investors can use https://t.co/F8PQkw1Br6
#riskmanagement
Who to follow
Yves Hilpisch
@dyjh
The Python Quants | https://t.co/e80v6MaAf1 | #CPF Program | https://t.co/NFl9Lxgvz6 | #Python & #AI for #Finance
Quantopian
@quantopian
Conversations with Quants. https://t.co/CLipfumAG5 https://t.co/FsYeiIaBLc
The Quants Hub
@QuantsHub
Training resource for Quantitative Research, Machine Learning, Ai, Developers & Risk Mgt in Finance #quant #riskmanagement #machinelearning #qdc #quantshub #ai
Quant. Finance SE
@StackQuant
over 3 years ago
Incorporating idiosyncratic risk as a pricing factor with GMM https://t.co/tHHatVzfFe
#assetpricing
Quant. Finance SE
@StackQuant
over 3 years ago
Can you answer this? Clustered vs. GMM-based standard errors: which ones to use in (basic) asse... https://t.co/ZYYs9uwLUC
#assetpricing
Quant. Finance SE
@StackQuant
over 3 years ago
Bounty offered: If returns are correlated, are Sharpe ratios correlated? https://t.co/ntSSJ3BjAo
#correlation
Quant. Finance SE
@StackQuant
over 3 years ago
CAPM yields very poor fit (low R-squared). Is that normal? https://t.co/zXVOkqkkJK
#capm
Quant. Finance SE
@StackQuant
over 3 years ago
How do market-makers profit & manage inventory when customers sell a lot of deep OTM opti... https://t.co/doMs2cMp4G
#impliedvolatility
Quant. Finance SE
@StackQuant
over 3 years ago
How to identify daily returns as an unusual daily return given a dataset https://t.co/eNlmbXiKt6
#programming
Quant. Finance SE
@StackQuant
over 3 years ago
Can you answer this? Feymann Kac pde with correlated process https://t.co/s1GbIiDvlA
#stochasticprocesses
Quant. Finance SE
@StackQuant
over 3 years ago
Can you answer this? What is the dynamic of the forward price process under $\mathbf{Q}$? https://t.co/inPM8owSiV
#blackscholes
Quant. Finance SE
@StackQuant
over 3 years ago
Probability of stock closing over a certain price https://t.co/MAF2yfn8gJ
#volatility
Quant. Finance SE
@StackQuant
over 3 years ago
Is LEI and Bloomberg Ticker one to one mapping. How about LEI, Bloomberg Ticker, Bloomberg ID... https://t.co/U8vi5vEDjI
#tickermapping
Quant. Finance SE
@StackQuant
over 3 years ago
Bounty offered: What ETFs and mutual funds track the Carhart 4 factors best? I.e. how to replicat... https://t.co/j7ebRq8pRN
#regression
Quant. Finance SE
@StackQuant
over 3 years ago
Can you answer this? Convergence rate of Bermudan to American option https://t.co/UChSTNO8Ug
#montecarlo
Quant. Finance SE
@StackQuant
over 3 years ago
Implied repo rate and slope of the yield curve https://t.co/szo8WMcTgy
#fixedincome
Quant. Finance SE
@StackQuant
over 3 years ago
Conceptual problem with risk neutrality-What is a 'risk-neutral world', exactly? https://t.co/pAWg2zw7iZ
#risk
Quant. Finance SE
@StackQuant
over 3 years ago
Pricing and hedging caps and floors on illiquid emerging markets https://t.co/KcpkO68cua
#optionpricing
Quant. Finance SE
@StackQuant
over 3 years ago
Bounty offered: non-Markovian/path-dependent optimal log utility and HJB-PDE https://t.co/PFeHSpFYtc
#portfoliooptimization
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