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Using R for Analyzing Loans, Portfolios and Risk: From Academic Theory to Financial Practice


Sanjiv R. Das Professor, Santa Clara University

Outline

  • High‐performance compuGng for Finance
  • Modeling the opGmal modificaGon of home loans using R
  • IdenGfying systemically risky financial insGtuGons using R network models.
  • Goal‐based porOolio opGmizaGon with R
  • Using R to deliver funcGons/models on the web, and for pedagogical purposes.

File(s):

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