您好,欢迎光临本网站![请登录][注册会员]  
文件名称: Mastering.Pandas.for.Finance.1783985100
  所属分类: Python
  开发工具:
  文件大小: 6mb
  下载次数: 0
  上传时间: 2015-08-03
  提 供 者: rami****
 详细说明: Master pandas, an open source Python Data Analysis Library, for financial data analysis About This Book A single source for learning how to use the features of pandas for financial and quantitative analysis. Explains many of the financial concepts including market risk, options valuation, futures calculation, and algorithmic trading strategies. Step-by-step demonstration with interactive and incremental examples to apply pandas to finance Who This Book Is For If you are interested in quantitative finance, financial modeling, an d trading, or simply want to learn how Python and pandas can be applied to finance, then this book is ideal for you. Some knowledge of Python and pandas is assumed. Interest in financial concepts is helpful, but no prior knowledge is expected. In Detail This book will teach you to use Python and the Python Data Analysis Library (pandas) to solve real-world financial problems. Starting with a focus on pandas data structures, you will learn to load and manipulate time-series financial data and then calculate common financial measures, leading into more advanced derivations using fixed- and moving-windows. This leads into correlating time-series data to both index and social data to build simple trading algorithms. From there, you will learn about more complex trading algorithms and implement them using open source back-testing tools. Then, you will examine the calculation of the value of options and Value at Risk. This then leads into the modeling of portfolios and calculation of optimal portfolios based upon risk. All concepts will be demonstrated continuously through progressive examples using interactive Python and IPython Notebook. By the end of the book, you will be familiar with applying pandas to many financial problems, giving you the knowledge needed to leverage pandas in the real world of finance. Table of Contents Chapter 1. Getting Started with pandas Using Wakari.io Chapter 2. Introducing the Series and DataFrame Chapter 3. Reshaping, Reorganizing, and Aggregating Chapter 4. Time-series Chapter 5. Time-series Stock Data Chapter 6. Trading Using Google Trends Chapter 7. Algorithmic Trading Chapter 8. Working with Options Chapter 9. Portfolios and Risk ...展开收缩
(系统自动生成,下载前可以参看下载内容)

下载文件列表

相关说明

  • 本站资源为会员上传分享交流与学习,如有侵犯您的权益,请联系我们删除.
  • 本站是交换下载平台,提供交流渠道,下载内容来自于网络,除下载问题外,其它问题请自行百度
  • 本站已设置防盗链,请勿用迅雷、QQ旋风等多线程下载软件下载资源,下载后用WinRAR最新版进行解压.
  • 如果您发现内容无法下载,请稍后再次尝试;或者到消费记录里找到下载记录反馈给我们.
  • 下载后发现下载的内容跟说明不相乎,请到消费记录里找到下载记录反馈给我们,经确认后退回积分.
  • 如下载前有疑问,可以通过点击"提供者"的名字,查看对方的联系方式,联系对方咨询.
 相关搜索: Pandas Finance Python
 输入关键字,在本站1000多万海量源码库中尽情搜索: