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: epub
简介:Master financial risk management using machine learning with this practical guide. Learn to leverage Python libraries like scikit-learn and TensorFlow to build predictive models for credit risk, market risk, and operational risk. This book covers various techniques including regression, classification, and time series analysis, providing hands-on examples and real-world case studies. Ideal for data scientists, financial analysts, and risk managers seeking to enhance their skills in this rapidly evolving field. Improve your risk assessment, forecasting, and decision-making abilities using the power of machine learning.
ISBN:B09N9V3X36
