Machine Learning for Financial Risk Management with Python(Abdullah Karasan)(O

  • 书名:Machine Learning for Financial Risk Management with Python
  • 出版社:O’Reilly Media
  • 作者:Abdullah Karasan
  • 出版年份:2021
  • 电子书格式: pdf
  • 简介:Master financial risk management with machine learning and Python. This comprehensive guide, “Machine Learning for Financial Risk Management with Python” by Abdullah Karasan (O’Reilly 2021), equips you with practical techniques to mitigate financial risks. Learn to leverage Python libraries like scikit-learn and TensorFlow for credit risk modeling, fraud detection, algorithmic trading, and more. Explore real-world case studies and hands-on exercises to build your expertise in this rapidly evolving field. Ideal for data scientists, financial analysts, and anyone seeking to apply machine learning in finance.
  • ISBN:B09N9V3X36
  • 下载地址(点击下载):
    隐藏内容
    本内容登录后免费查看
声明:本站所有文章,如无特殊说明或标注,均为本站原创发布。任何个人或组织,在未征得本站同意时,禁止复制、盗用、采集、发布本站内容到任何网站、书籍等各类媒体平台。如若本站内容侵犯了原著者的合法权益,可联系我们进行处理。