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Chapman and Hall/CRC Financial Mathematics Series

Python for Asset Management

Natalia Cassinello & Ignacio Cervera

Python for Asset Management

Chapman and Hall/CRC Financial Mathematics Series

Python for Asset Management

Chapman and Hall/CRC Financial Mathematics Series: Python for Asset Management

Verschijnt binnenkort

 

The book empowers non-programmers—portfolio managers, risk analysts, and students—to implement advanced models themselves. It responds to the growing demand for quantitative literacy in finance, especially in sustainable investing and smart beta strategies, areas of active research for both of the authors.


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Beschrijving Chapman and Hall/CRC Financial Mathematics Series: Python for Asset Management

The book empowers non-programmers—portfolio managers, risk analysts, and students—to implement advanced models themselves. It responds to the growing demand for quantitative literacy in finance, especially in sustainable investing and smart beta strategies, areas of active research for both of the authors.


ISBN
9781041308324
Pagina's
314
Verschijnt
Serie
Chapman and Hall/CRC Financial Mathematics Series
Rubriek
Economie en bedrijf
Druk
1
Uitvoering
Hardback
Taal
Engels
Uitgever
Taylor & Francis Ltd

Economie en bedrijf