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    33 using matlab financial analysis trabajados encontrados, precios en EUR

    I try to find someone who can using Matlab program to classifier and clustering some Financial data sets with high techniques , new algorithms , that can make the good results for my projects

    €75 (Avg Bid)
    €75 Oferta Promedio
    18 ofertas

    ...portfolios. Data set which is 20 financial instruments/assets obtained from the S&P 500 for the year 2016. Data to be optimized on matlab using 2 theories of portfolio optimization - 1)Markowitz & 2)VaR (Value at Risk) / CVaR (Conditional Value at Risk. Data anyalsis to be created with a comparison of both theories. Data analysis : - a) chapter one – W...

    €123 (Avg Bid)
    €123 Oferta Promedio
    3 ofertas

    ...portfolios. Data set which is 20 financial instruments/assets obtained from the S&P 500 for the year 2016. Data to be optimized on matlab using 2 theories of portfolio optimization - 1)Markowitz & 2)VaR (Value at Risk) / CVaR (Conditional Value at Risk. Data anyalsis to be created with a comparison of both theories. Data analysis : - a) chapter one – W...

    €94 (Avg Bid)
    €94 Oferta Promedio
    1 ofertas

    ...portfolios. Data set which is 20 financial instruments/assets obtained from the S&P 500 for the year 2016. Data to be optimized on matlab using 2 theories of portfolio optimization - 1)Markowitz & 2)VaR (Value at Risk) / CVaR (Conditional Value at Risk. Data anyalsis to be created with a comparison of both theories. Data analysis : - a) chapter one –...

    €188 (Avg Bid)
    €188 Oferta Promedio
    14 ofertas

    The project is about finanancial data analysis using matlab or r programming.

    €104 (Avg Bid)
    €104 Oferta Promedio
    6 ofertas

    Using Matlab, I would like you to conduct a financial time series analysis on the EURUSD 5min, 15min, 1 hour and 4hour time series (I can send you copies of csv files if necessary). Using a simplistic trading strategy, when a fast moving average crosses over a slow moving average then buy/sell with TP and SL created at entry where TP>SL with ideally

    €259 (Avg Bid)
    €259 Oferta Promedio
    6 ofertas

    Using Matlab, I would like you to conduct a financial time series analysis on the EURUSD 5min, 15min, 1 hour and 4hour time series (I can send you copies of csv files if necessary). Using a simplistic trading strategy, when a fast moving average crosses over a slow moving average then buy/sell with TP and SL created at entry where TP>SL with ideally

    €211 (Avg Bid)
    €211 Oferta Promedio
    1 ofertas

    Using Matlab, I would like you to conduct a financial time series analysis on the EURUSD 5min, 15min, 1 hour and 4hour time series (I can send you copies of csv files if necessary). Using a simplistic trading strategy, when a fast moving average crosses over a slow moving average then buy/sell with TP and SL created at entry where TP>SL with ideally

    €158 (Avg Bid)
    €158 Oferta Promedio
    10 ofertas

    Using Matlab, I would like you to conduct a financial time series analysis on the EURUSD 5min, 15min, 1 hour and 4hour time series (I can send you copies of csv files if necessary). Using a simplistic trading strategy, when lead/lag crossover then buy/sell with TP and SL created at entry where TP>SL with ideally greater than 75% trades profitable

    €137 (Avg Bid)
    €137 Oferta Promedio
    4 ofertas

    Using Matlab, I would like you to conduct a financial time series analysis on the EURUSD 5min, 15min, 1 hour and 4hour time series that are attached (File format: Time, Open, High, Low, Close, Volume). Using a simplistic trading strategy, when lead/lag crossover then buy/sell with TP and SL created at entry where TP>SL with ideally greater than 75%

    €20 - €169
    €20 - €169
    0 ofertas

    Using Matlab, I would like you to conduct a financial time series analysis on the EURUSD 5min, 15min, 1 hour and 4hour time series that are attached (File format: Time, Open, High, Low, Close, Volume). Using a simplistic trading strategy, when lead/lag crossover then buy/sell with TP and SL created at entry where TP>SL with ideally greater than 75%

    €160 (Avg Bid)
    €160 Oferta Promedio
    12 ofertas

    Using Matlab, I would like you to conduct a financial time series analysis on the EURUSD 5min, 15min, 1 hour and 4hour time series that are attached (File format: Time, Open, High, Low, Close, Volume). For each of these time periods I would like you to assess the best combination of select indicators that include; EMA, SMA, Elliot Wave, Bollinger

    €179 (Avg Bid)
    €179 Oferta Promedio
    9 ofertas

    Using Matlab, I would like you to conduct a financial time series analysis on the EURUSD 5min, 15min, 1 hour and 4hour time series that are attached (File format: Time, Open, High, Low, Close, Volume). For each of these time periods I would like you to assess the best combination of select indicators that include; EMA, SMA, Elliot Wave, Bollinger

    €178 (Avg Bid)
    €178 Oferta Promedio
    17 ofertas

    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

    €271 (Avg Bid)
    €271 Oferta Promedio
    11 ofertas

    ...4500 words Assessment Dissertation for Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. Must explain how such strategies can be monitored and executed in real life situations using examples. Examples should involve at least one real

    €220 (Avg Bid)
    €220 Oferta Promedio
    1 ofertas
    4600words eassy Finalizado left

    ...words Assessment Dissertation for Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. Must explain how such strategies can be monitored and executed in real life situations using examples. Examples should involve at least one real

    €174 (Avg Bid)
    €174 Oferta Promedio
    22 ofertas

    Hi, I am looking for two quotes please. Both are to be done on matlab and all I need is the matlab code done out, the results, the data inputs and a description on how the matlab was done and works so i can under stand it. [iniciar sesión para ver URL] may replicate the paper by Pot`ı et al (2014)* titled “Predictability, Trading Rule Profitability and Learnin...

    €571 (Avg Bid)
    €571 Oferta Promedio
    2 ofertas

    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

    €244 (Avg Bid)
    €244 Oferta Promedio
    18 ofertas

    ...Econometric/Statistical Analysis. The study in Sheffield was funded from the Scholarship I received for Higher Studies from UK. I have been teaching courses in Economics, Statistics and Econometrics both on campus and online on my personally maintained e-learning portal. There are more than 30 courses in Econometrics, Statistics, Business Analysis and Global

    €507 (Avg Bid)
    €507 Oferta Promedio
    2 ofertas

    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

    €358 (Avg Bid)
    €358 Oferta Promedio
    9 ofertas
    Financial Math Finalizado left

    Plz find attached this file. It is an essay for Financial Mathematics Is in an essay for Financial Mathematics, sets out with a study of different scenarios for the development of interest rates since the mortgage market and financial markets are generally driven by interest rates. The aim of this essay is to compare the schedule for mortgages

    €178 (Avg Bid)
    €178 Oferta Promedio
    10 ofertas
    Financial Math Finalizado left

    Plz find attached this file. It is an essay for Financial Mathematics Is in an essay for Financial Mathematics, sets out with a study of different scenarios for the development of interest rates since the mortgage market and financial markets are generally driven by interest rates. The aim of this essay is to compare the schedule for mortgages

    €217 (Avg Bid)
    €217 Oferta Promedio
    4 ofertas

    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

    €252 (Avg Bid)
    €252 Oferta Promedio
    7 ofertas

    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

    €239 (Avg Bid)
    €239 Oferta Promedio
    8 ofertas

    ...someone. Assessment Dissertation for Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. Must explain how such strategies can be monitored and executed in real life situations using examples. Examples should involve at least one real

    €176 (Avg Bid)
    €176 Oferta Promedio
    3 ofertas
    4600words eassy Finalizado left

    ...words Assessment Dissertation for Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. Must explain how such strategies can be monitored and executed in real life situations using examples. Examples should involve at least one real

    €220 (Avg Bid)
    €220 Oferta Promedio
    1 ofertas

    ...words Assessment Dissertation for Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. Must explain how such strategies can be monitored and executed in real life situations using examples. Examples should involve at least one real

    €281 (Avg Bid)
    €281 Oferta Promedio
    5 ofertas

    This is Corporate and Financial Risk Analysis project. The freelancer is supposed to write a 4200 to 4500 words essay to answer 7 questions by the client. deadline is 26th 8pm Uk Standard time. The details are in the order form (submited later) , all the requirements are given in details by the client ,which we should follow exactly. Especially for

    €220 (Avg Bid)
    €220 Oferta Promedio
    7 ofertas

    ...and task at hand is strictly limited to 'show casing' and promoting your application. We aim to match your application to the needs of the client. Our interest is in the financial reward derived by implementation. Your software - can be leased or licensed or sold in this scheme - it is your choice. You may be a large software company that has a

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    0 ofertas

    I would like to get financial forecast based on historical data using MC Simulation,regression and Time series analysis. I'll provide the winner with the historical data. ## Deliverables 1) Complete and fully-functional working program(s) in executable form as well as complete source code of all work done. 2) Deliverables must be in ready-to-run

    €120 (Avg Bid)
    €120 Oferta Promedio
    9 ofertas
    Matlab development Finalizado left

    Matlab developer needed to develop financial model uncover patterns in client trades and optimize hedging strategies. Must be experienced with current methods of financial markets analysis (e.g. fractals, wavelets, neural nets etc) in order to be able to apply appropriate tools to data. Limited transaction and tick data will be provided to ensure confidentiality

    €727 (Avg Bid)
    €727 Oferta Promedio
    2 ofertas