内容简介
书名:Machine Learning for Financial Risk Management with Python出版社:O’Reilly Media
作者:Abdullah Karasan
出版年份:2021
电子书格式: pdf
简介:Master financial risk management with machine learning using Python. This book provides practical techniques to build, train, and deploy machine learning models in finance. Learn to identify and mitigate financial risks, optimize portfolio strategies, and improve investment decision-making using Python libraries. Explore diverse risk management applications, including fraud detection, credit scoring, and algorithmic trading. Ideal for financial analysts, risk managers, and data scientists seeking to leverage machine learning for actionable insights.
ISBN:B09N9V3X36
