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 by
Difficulty Level
Intermediate
Completion Time
14h24m
Language
English
About Book
Who Is This Book For?
This book is for financial analysts, data analysts, and Python developers who want to learn how to implement a broad range of tasks in the finance domain. Data scientists looking to devise intelligent financial strategies to perform efficient financial analysis will also find this book useful. Working knowledge of the Python programming language is mandatory to grasp the concepts covered in the book effectively.
Python for Finance Cookbook
- About Book
- Who Is This Book For?
- Book Content
Book content
chapters • 14h24m total length
Financial Data and Preprocessing
Technical Analysis in Python
Time Series Modelling
Multi-factor Models
Modeling Volatility with GARCH class models
Monte Carlo Simulations in Finance
Asset Allocation in Python
Identifying Credit Default with Machine Learning
Advanced Machine Learning Models in Finance
Deep Learning in Finance
Related Resources
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