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Python For Finance Analyze Big Financial Data Yves Hilpisch
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Python For Finance Analyze Big Financial Data
Shows You How To Develop A Full-fledged Framework For Monte Carlo Simulation-based Derivatives And Risk Analytics, Based On A Large, Realistic Case Study. Much Of The Book Uses Interactive IPython Notebooks, With Topics That Include: Fundamentals: Python Data Structures, NumPy Array Handling, Time Series Analysis With Pandas, 12th, 2024

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17.1 Analyze Data Displays NAME 17.1 I Can Analyze Data ...
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Big Data Analytics Turn Big Data Into Big Value
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Python For Finance Mastering Data Driven Finance
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Corporate Finance - Wharton Finance - Finance Department
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Behavioral Finance - Wharton Finance - Finance Department
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