Python for Finance – Second Edition uses Python as its computational tool. Since Python is free, any school or organization can download and use it. This book is organized according to various finance subjects. In other words, the first edition focuses more on Python, while the second edition is truly trying to apply Python to finance. (Limited-time offer)
Table of Contents
- Python Basics
- Introduction to Python Modules
- Time Value of Money
- Sources of Data
- Bond and Stock Valuation
- Capital Asset Pricing Model
- Multifactor Models and Performance Measures
- Time-Series Analysis
- Portfolio Theory
- Options and Futures
- Value at Risk
- Monte Carlo Simulation
- Credit Risk Analysis
- Exotic Options
- Volatility, Implied Volatility, ARCH, and GARCH
Download Free PDF / Read Online
Author(s): Yuxing Yan
Publisher: Packt Publishing
Published: June 2017
Format(s): Online
File size: –
Number of pages: 586
Download / View Link(s): This offer has ended.
Free as of 05/07/2023.
Publisher: Packt Publishing
Published: June 2017
Format(s): Online
File size: –
Number of pages: 586
Download / View Link(s): This offer has ended.
Free as of 05/07/2023.