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Mastering pandas for Finance
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Mastering pandas for Finance

About This Book
  • A single source for learning how to use the features of pandas for financial and quantitative analysis.
  • Explains many of the financial concepts including market risk, options valuation, futures calculation, and algorithmic trading strategies.
  • Step-by-step demonstration with interactive and incremental examples to apply pandas to finance
Who This Book Is For

If you are interested in quantitative finance, financial modeling, and trading, or simply want to learn how Python and pandas can be applied to finance, then this book is ideal for you. Some knowledge of Python and pandas is assumed. Interest in financial concepts is helpful, but no prior knowledge is expected.

Kirjailija
Michael Heydt
ISBN
9781783985104
Kieli
englanti
Paino
310 grammaa
Julkaisupäivä
25.5.2015
Sivumäärä
298