Python for Finance: Build Real Trading Systems with Python: Algorithmic Trading, Financial Analysis, Backtesting, Risk Control, and Performance Monitoring (Python MEGA bundle Book 12)
Learn to build trading systems with Python, covering algorithmic trading, financial analysis, backtesting, risk control, and performance monitoring.
About This Book
Python for Finance provides readers with tools to develop trading systems using Python.
The book covers algorithmic trading, financial analysis, and backtesting techniques.
Topics include risk control and performance monitoring for trading strategies.
Content is structured to support practical implementation of financial applications.
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