SKU: 2014079721

Simulation, Optimization, and Machine Learning for Finance, second edition

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Simulation, Optimization, and Machine Learning for Finance, second editionBy: Dessislava A. Pachamanova, Frank J. Fabozzi, Francesco A. Fabozzi A comprehensive guide to simulation, optimization, and machine learning for finance, covering theoretical foundations, practical applications, and data driven decision making. Simulation, Optimization, and Machine Learning for Finance offers a comprehensive introduction to the quantitative tools essential for asset management and corporate finance. This extensively revised and

By: Dessislava A. Pachamanova, Frank J. Fabozzi, Francesco A. Fabozzi     
A comprehensive guide to simulation, optimization, and machine learning for finance, covering theoretical foundations, practical applications, and data-driven decision-making.

Simulation, Optimization, and Machine Learning for Finance offers a comprehensive introduction to the quantitative tools essential for asset management and corporate finance. This extensively revised and expanded edition builds upon the foundation of the textbook Simulation and Optimization in Finance, integrating the latest advancements in quantitative tools. Designed for undergraduates, graduate students, and professionals seeking to enhance their analytical expertise in finance, the book bridges theory with practical application, making complex financial concepts more accessible.

Beginning with a review of foundational finance principles, the text progresses to advanced topics in simulation, optimization, and machine learning, demonstrating their relevance in financial decision-making. Readers gain hands-on experience developing financial risk models using these techniques, fostering conceptual understanding and practical implementation.

  • Provides a structured introduction to probability, inferential statistics, and data science
  • Explores cutting-edge techniques in simulation modeling, optimization, and machine learning
  • Demonstrates real-world asset allocation strategies, advanced portfolio risk measures, and fixed-income portfolio management using quantitative tools
  • Covers factor models and stochastic processes in asset pricing
  • Integrates capital budgeting and real options analysis, emphasizing the role of uncertainty and quantitative modeling in long-term financial decision-making
  • Is suitable for practitioners, students, and self-learners
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SKU: 2014079721

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Constance Law
Natrona Heights, US
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Good quality & trendy color sweater
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This sweater is very soft, light and very suitable for keeping mild warm at the temperature of 20c or inside an air conditioning room. Particularly, the trendy color for 2026 in brown suede jacket, this sweater is real good matching item! I like it! 😍😍😍
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Reviewed in the United States on February 27, 2026
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BETTY HILDRETH
Belleville, US
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very stylish
Size: Medium, Color: Pure Apricot
true to size. very comfortable.
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Cap47
Lake Worth, US
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Great Material
Love the sweater. So soft.
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kb
Charlottesville, US
★★★★★ 5
Great for layering or wearing on its own!
I’m 5’6” and ordered the small — it fits perfectly! The color is exactly as shown in the pictures, a beautiful beige that goes with everything. The fabric is incredibly soft and comfortable, making it great for layering or wearing on its own. I’m really happy with this purchase and would definitely recommend it!
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Reviewed in the United States on November 1, 2025
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CC7
Natrona Heights, US
★★★★★ 3
Nice but not great
Fits true to size. I ordered a small and it was a great fit. Could be a bit softer. Loved the style. Not too thin or not heavy, nice weight. This quality of the sweater was nice, however the buttons broke apart as I was styling the cardigan. Not happy to have to sew on small buttons to fit the small holes. It’s nice but I had to put too much effort into wearing it.
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Reviewed in the United States on February 11, 2026

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