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Learning Quantitative Finance with R

You're reading from  Learning Quantitative Finance with R

Product type Book
Published in Mar 2017
Publisher Packt
ISBN-13 9781786462411
Pages 284 pages
Edition 1st Edition
Languages
Authors (2):
Dr. Param Jeet Dr. Param Jeet
Profile icon Dr. Param Jeet
PRASHANT VATS PRASHANT VATS
Profile icon PRASHANT VATS
View More author details

Table of Contents (16) Chapters

Learning Quantitative Finance with R
Credits
About the Authors
About the Reviewer
www.PacktPub.com
Customer Feedback
Preface
1. Introduction to R 2. Statistical Modeling 3. Econometric and Wavelet Analysis 4. Time Series Modeling 5. Algorithmic Trading 6. Trading Using Machine Learning 7. Risk Management 8. Optimization 9. Derivative Pricing

Grid testing


Let us consider a typical classification problem. Assume you have a dataset and you divide it into training (T) and validating (V) datasets. Here you are trying to solve an optimization problem, let's say P, in which one is trying to reduce the training error in addition to regularization terms, where the optimization problem is a function of model parameter m, training sample T, and some hyperparameters and . Solving for given  and  gives you the value of parameter m. Now one can apply the estimated parameters on the validation sample to get the validation error function, and optimize it to get the set of  and  to minimize the error function. But this optimization problem will be very expensive as, for each set of  and , you need to optimize the objective function, which might not be a convex, concave, or smooth function.

So we subset the set of  and  and, for each pair of selected  and , we solve the optimization problem. This looks like a grid in space so we call it a grid...

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