AI Portfolio Management with Python: Build Multi-Agent Systems That Analyze, Debate, and Help You Invest Better (Python for Finance Book 3)
Learn to build multi-agent AI systems in Python that analyze data, debate strategies, and support better investment decisions in portfolio management.
About This Book
This book introduces readers to the use of Python for developing AI-driven portfolio management systems.
It covers the construction of multi-agent frameworks that can analyze data and support investment choices.
Readers will explore methods for creating systems that simulate debate and evaluation among agents.
The content focuses on practical implementation within the domain of finance and technology.
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