Machine Learning for Financial Risk Management with Python: Algorithms for Modeling Risk
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Machine Learning for Financial Risk Management with Python: Algorithms for Modeling Risk

by Abdullah Karasan

Finance Programming Machine Learning
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A guide to using machine learning algorithms and Python for modeling and managing financial risk.

About This Book

This book explores the use of machine learning algorithms in financial risk management.

It provides guidance on implementing risk models with Python.

Readers will learn how data-driven approaches can support financial decision-making.

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I will be using this book for: