内容简介

书名:Machine Learning for Financial Risk Management with Python: Algorithms for Modeling Risk (Early Release)
出版社:O’Reilly Media
作者:Abdullah Karasan
出版年份:2021
电子书格式: epub
简介:Dive into financial risk management using Python and machine learning. This book, “Machine Learning for Financial Risk Management with Python,” explores practical algorithms for modeling risk. Ideal for financial professionals and data scientists, it offers actionable insights into utilizing machine learning techniques to mitigate financial risks. Discover advanced modeling methods within a Python framework. Learn how to identify and quantify financial risk, ultimately leading to improved decision-making. Get a comprehensive understanding of risk modeling with Python. This Early Release provides a valuable guide for financial professionals seeking to leverage machine learning.
ISBN:9781492085256, 14920

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