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Reactive PublishingMaster financial econometrics and Python programming to analyze, predict, and strategize in financial markets. This comprehensive guide offers:
Core Principles: Understand econometrics and its applications in finance with beginner-friendly Python programming.Advanced Techniques: Implement ARIMA, GARCH, VAR models, time series analysis, volatility modeling, and predictive analytics using Python.Real-World Applications: Solve practical problems with real financial data, including stock markets and cryptocurrencies.Data-Driven Insights: Use Pandas, NumPy, StatsModels, and SciPy for data processing and analysis. Visualize trends with Matplotlib and Seaborn.Practical Implementation: Follow step-by-step tutorials and exercises to develop and backtest trading strategies.Why Choose This Book:
High Demand Skills: Equip yourself with sought-after financial and programming skills.Practical Focus: Hands-on examples and real data applications.Expert Author: Insights from a seasoned financial analyst and data scientist.Comprehensive Coverage: Suitable for beginners to advanced practitioners.Engaging Content: Clear explanations and practical exercises for easy learning.Ideal For:
Financial analysts, economists, and data scientists.Students and academics in finance and data science.Finance professionals looking for data-driven insights.Unlock financial econometrics with Python to make informed investment decisions and develop effective trading strategies.