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Volatility Trading Strategies with Python

From VIX to Vega Neutral Portfolios: Master Implied Volatility, Forecasting, and Risk-Neutral Trading in Options Markets

Jezik EngleskiEngleski
Knjiga Meki uvez
Knjiga Volatility Trading Strategies with Python Hayden Van Der Post
Libristo kod: 50558459
Nakladnici Independently published, listopad 2025
Reactive PublishingVolatility is not just a byproduct of options, it's an asset class in its own rig... Cijeli opis
? points 108 b
44.42
Vanjske zalihe Šaljemo za 9-15 dana

30 dana za povrat kupljenih proizvoda


Kupci su kupili i


Talitha Carolin Philipps / Knjiga Tvrdi uvez
common.buy 14.02

Reactive Publishing

Volatility is not just a byproduct of options, it's an asset class in its own right. Successful traders know how to analyze, forecast, and trade volatility to build portfolios that thrive in both calm and chaotic markets.

Volatility Trading Strategies with Python gives you a complete framework for mastering volatility. From the VIX index to vega-neutral hedging, you'll learn how to design, test, and execute strategies that capture opportunities hidden in the volatility surface.


What You'll Learn
  • Understanding Volatility: Historical vs. implied volatility, term structure, and skew.

  • VIX and Volatility Indices: How they're built, traded, and used in hedging.

  • Portfolio Construction: Delta-hedged, vega-neutral, and gamma-neutral strategies.

  • Trading Strategies: Straddles, strangles, calendar spreads, and dispersion trades.

  • Forecasting Models: GARCH, stochastic volatility, and machine learning approaches.

  • Python Implementation: Build volatility forecasting models and trading systems step-by-step.


Tools and Frameworks Covered
  • Python (Pandas, NumPy, SciPy, Statsmodels)

  • Options data structures and volatility surfaces

  • GARCH and stochastic volatility models

  • Backtesting engines for volatility-driven strategies


Who This Book Is For
  • Options traders seeking to specialize in volatility

  • Quants and analysts designing risk-hedged strategies

  • Data scientists expanding into financial markets

  • Python developers applying quantitative methods in trading

Glumica & Poliglotkinja
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Informacije o knjizi

Puni naziv Volatility Trading Strategies with Python
Jezik Engleski
Uvez Knjiga - Meki uvez
Datum izdanja 2025
Broj stranica 668
EAN 9798268329674
Libristo kod 50558459
Težina 1142
Dimenzije 178 x 254 x 34
Poklonite ovu knjigu još danas
To je jednostavno
1 Dodajte knjigu u košaricu i odaberite isporuku kao poklon 2 Zauzvrat ćemo vam poslati kupon 3 Knjiga dolazi na adresu poklonoprimca

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Kubrick Robert P. Kolker / Knjiga Tvrdi uvez
common.buy 29.88

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