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e-book : Python for Finance : Financial modeling and quantitative analysis explained.

Ebook

YAN Yuxing

PACKT Publishing

2017

586

SOFTWARE ; COMPUTER SCIENCE ; DATA ANALYSIS ; FINANCIAL MATHEMATICS

Link to the ebook : https://univ-scholarvox-com.ezproxy.univ-catholille.fr/catal...

eISBN : 978-1-78712-569-8

Contents : Preface
Chapter 1: Python Basics
Chapter 2: Introduction to Python Modules
Chapter 3: Time Value of Money
Chapter 4: Sources of Data
Chapter 5: Bond and Stock Valuation
Chapter 6: Capital Asset Pricing Model
Chapter 7: Multifactor Models and Performance Measures
Chapter 8: Time-Series Analysis
Chapter 9: Portfolio Theory
Chapter 10: Options and Futures
Chapter 11: Value at Risk
Chapter 12: Monte Carlo Simulation
Chapter 13: Credit Risk Analysis
Chapter 14: Exotic Options
Chapter 15: Volatility, Implied Volatility, ARCH, and GARCH
Summary
Index

Language : English

Print : 2e

Location : Nice Library

Material : Electronic

Statement : Présent

Owner : Bibliothèque