Machine Learning for Financial Risk Management with Python: Algorithms for Modeling Risk
Machine Learning for Financial Risk Management with Python introduces the relationship between machine learning, Python programming, and financial risk management. Focusing on algorithms for modeling risk, it offers a subject-specific resource for readers interested in applying computational techniques to financial analysis.
About This Book
Machine Learning for Financial Risk Management with Python focuses on the use of machine learning in financial risk management.
The book centers on algorithms for modeling risk, with Python as the primary programming context.
It connects computational methods with the practical subject of financial risk analysis.
This title may suit readers seeking an introduction to machine learning applications in finance and risk modeling.
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