Financial Data Science with Python: An Integrated Approach to Analysis, Modeling, and Machine Learning
Financial Data Science with Python offers an integrated guide to analysis, modeling, and machine learning for financial data. Written by Dr. Haojun Chen, it brings these closely related areas together through a Python-centered approach for readers exploring modern financial data science.
About This Book
Financial Data Science with Python presents an integrated approach to working with financial data.
The book focuses on analysis, modeling, and machine learning, using Python as the central programming language.
It is suited to readers seeking a connected view of the tools and methods used in financial data science.
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