Machine Learning Applications in Finance: Predictive Analytics, Risk Modeling, Algorithmic Trading, and Portfolio Optimization with Python - Couverture souple

Strauss, Johann

 
9798199953443: Machine Learning Applications in Finance: Predictive Analytics, Risk Modeling, Algorithmic Trading, and Portfolio Optimization with Python

Synopsis

Reactive Publishing

This book is designed for finance professionals, quantitative analysts, data scientists, and developers who want to apply machine learning methods specifically to finance. Basic knowledge of Python and familiarity with core financial concepts is recommended.

Whether you work in banking, asset management, fintech, or hedge funds, this book provides a structured introduction to integrating machine learning into financial decision-making processes.

Clear, practical, and focused, an essential reference for implementing ML solutions in finance.

Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.