Book

Python for Finance Cookbook

Python is becoming the number one language for data science and also quantitative finance. This book provides you with solutions to common tasks from the intersection of quantitative finance and data science, using modern Python libraries.

Offered byPackt Logo

Difficulty Level
Intermediate
Completion Time
14h24m approx.
Language
English
Certification
Not available

About Course

Book Content

chapters 14h24m total length

1. Financial Data and Preprocessing
2. Technical Analysis in Python
3. Time Series Modelling
4. Multi-factor Models
5. Modeling Volatility with GARCH class models
6. Monte Carlo Simulations in Finance
7. Asset Allocation in Python
8. Identifying Credit Default with Machine Learning
9. Advanced Machine Learning Models in Finance
10. Deep Learning in Finance

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