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  • Getting Started with pdfLaTeX in Linux - A Complete Guide

    Learn how to install and use pdfLaTeX in Linux to create professional documents, academic papers, and reports with proper formatting and typography.

  • Project Management, Complex Systems, Agile and Design Thinking.

    Lessons learned so far and how to read them for present and future success. Beyond a misunderstood Software Engineering definition.

  • To be a Quant

    Many people want to be a quant, because we have read six figure's salary in some job portal. How can I start to prepare myself to be a quant?. Do I need some professional background? ...

  • The Beginning

    This field, the quantitative finance job market is full of eager people. People eager for getting 6 figures anual checks. I was not different, I'm still working on it though. My goal is not just to have a 6-figures check itself. There are other motivations...

  • Welcome to My Quantitative Finance Blog

    Welcome to my quantitative finance blog! Here I share insights, experiences, and knowledge about the fascinating world of quantitative finance. From portfolio management to algorithmic trading, join me on this journey...

  • Active vs Passive Investing in Crypto

    There are different investment approaches, and being able to identify them helps to decide which suits better for your personal investments. Now, given the rise of cryptos ...

  • Just another post of local LLM models

    Recurrent post in the internet though, this one shows my personal experiment using a particular inference engine

  • Mean Reversion Model vs RL Model in a Pair Trading Strategy: A Comparative Study

    Reinforcement learning is gaining every day more terrain due to its theoretical capacity to learn during the process. It is observed in our study showing such a capability, but as well compared the result against the standard model of deviations from the mean...

  • Pair trading strategy using reinforcement learning algortihms (PPO and A2C)

    Reinforcement learning is gaining every day more terrain due to its theoretical capacity to learn during the process. It is observed in our study showing such a capability, but as well compared the result against the standard model of deviations from the mean...

  • Market Risk and Portfolio Management (Why It Actually Matters)

    Risk management is not just a compliance exercise. It is the discipline that separates portfolios that survive from those that do not. Here is a personal take on what it means in practice, especially from the market risk side.

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