Python for Finance : Data analysis, financial modeling, and portfolio management
Description: Python's intuitive syntax and beginner-friendly nature makes it an ideal programming language for financial professionals. It acts as a bridge between the world of finance and data analysis.This book will introduce essential concepts in financial analysis methods and models, coveri...
Guardat en:
| Autor principal: | |
|---|---|
| Format: | Livre numérique |
| Idioma: | Anglais |
| Publicat: |
New Delhi :
BPB Publications
2024.
Paris : Cyberlibris |
| Accés en línia: | Accès Université d'Orléans et IFPM |
| Nota: |
Couverture. https://static2.cyberlibris.com/books_upload/136pix/9789355516893.jpg Cyberlibris (ScholarVox) corpus Informatique |
| Autres localisations: | Voir dans le Sudoc |
| Edition sous un autre format: | • Python for Finance, Data analysis, financial modeling, and portfolio management, Dmytro Zherlitsyn, New Delhi, BPB Publications, 2024, 1 vol. (488 p.), 978-93-5551-689-3 |
Taula de continguts:
- 1. Getting Started with Python for Finance
- 2. Python Tools for Data Analysis: Primer to Pandas and NumPy
- 3. Financial Data Manipulation with Python
- 4. Exploratory Data Analysis for Finance
- 5. Investment and Trading Strategies
- 6. Asset Pricing and Portfolio Management
- 7. Time Series Analysis and Financial Data Forecasting
- 8. Risk Assessment and Volatility Modelling
- 9. Machine Learning and Deep Learning in Finance
- 10. Time Series Analysis and Forecasting with FB Prophet Library
- Appendix A: Python Code Examples for Finance
- Appendix B: Glossary
- Appendix C: Valuable Resources