SKU/Artículo: AMZ-B0G641TFML

Financial Modeling with Python: Practical Guide to Data Analysis, Portfolio Management, and Risk

Disponibilidad:
En stock
Peso con empaque:
0.54 kg
Devolución:
Condición
Nuevo
Producto de:
Amazon

Sobre este producto
  • Practical, real-world focus: Every concept is paired with working Python code and real datasets.
  • Covers the entire financial modeling pipeline: Data cleaning, analysis, portfolio optimization, risk metrics, derivative pricing, strategy backtesting, and more.
  • Beginner-friendly, expert-approved: Clear explanations, intuitive examples, and a gradual learning curve.
  • Modern Python ecosystem: Learn how to use Pandas, NumPy, Matplotlib, scikit-learn, and performance tools like NumExpr and multiprocessing.
  • Designed for action: Build your own models, strategies, and simulations as you progress—no guesswork, no fluff.
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AR$66.571
31% OFF
AR$45.916

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