Mastering Python for Finance – Second Edition will guide you through carrying out complex financial calculations practiced in the industry of finance by using next-generation methodologies. You will master the Python ecosystem by leveraging publicly available tools to successfully perform research studies and modeling, and learn to manage risks with the help of advanced examples. (Limited-time offer)
Table of Contents
- Overview of Financial Analysis with Python
- The Importance of Linearity in Finance
- Nonlinearity in Finance
- Numerical Methods for Pricing Options
- Modeling Interest Rates and Derivatives
- Statistical Analysis of Time Series Data
- Interactive Financial Analytics with the VIX
- Building an Algorithmic Trading Platform
- Implementing a Backtesting System
- Machine Learning for Finance
- Deep Learning for Finance
Download Free PDF / Read Online
Author(s): James Ma Weiming
Publisher: Packt Publishing
Published: April 2019
Format(s): Online
File size: –
Number of pages: 426
Download / View Link(s): This offer has ended.
Free as of 03/10/2021
Publisher: Packt Publishing
Published: April 2019
Format(s): Online
File size: –
Number of pages: 426
Download / View Link(s): This offer has ended.
Free as of 03/10/2021