Derivatives Analytics with Python: Data Analysis, Models, Simulation, Calibration and Hedging (The Wiley Finance Series)
Learn to implement derivatives analytics in Python, covering data analysis, modeling, simulation, calibration, and hedging for finance professionals.
About This Book
This book focuses on the use of Python for derivatives analytics.
It covers data analysis, models, simulation, calibration, and hedging techniques.
Readers can apply Python tools to financial derivatives workflows.
The content is part of The Wiley Finance Series.
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