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Machine Learning for Financial Risk Management with Python : Algorithms for Modeling Risk
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Machine Learning for Financial Risk Management with Python : Algorithms for Modeling Risk

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PublisherO'Reilly Media
Book DescriptionSubject Heading Description 1: Computing & Internet Subject Heading Description 2: Programming/Database Design & Programming ISBN: 9781492085256 ISBN-10: Publisher Imprint: O'Reilly Media Contributor 1: Abdullah Karasan Title: Machine Learning for Financial Risk Management with Python : Algorithms for Modeling Risk Binding Type: Paperback Content Language Code: Pages: Description: Discover the captivating world of Machine Learning for Financial Risk Management with Python : Algorithms for Modeling Risk, a Computing & Internet that falls under the Programming/Database Design & Programming category. This Paperback-formatted gem, contributed by Abdullah Karasan and published by O'Reilly Media, promises an immersive experience for readers. With pages of engaging content, Machine Learning for Financial Risk Management with Python : Algorithms for Modeling Risk explores. The language adds a unique flavor to the narrative, making it accessible to a wide audience.
Book FormatPaperback
ISBN 139781492085256
AuthorAbdullah Karasan
Publication Date2021-12-31
Machine Learning for Financial Risk Management with Python : Algorithms for Modeling Risk
Machine Learning for Financial Risk Management with Python : Algorithms for Modeling Risk
Sorry! This product is not available.
Available Soon

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