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Machine Learning for Financial Risk Management with Python: Algorithms for Modeling Risk Abdullah Karasan
Machine Learning for Financial Risk Management with Python: Algorithms for Modeling Risk
Abdullah Karasan
Financial risk management is quickly evolving with the help of artificial intelligence. With this practical book, developers, programmers, engineers, financial analysts, and risk analysts will explore Python-based machine learning and deep learning models for assessing financial risk.
350 pages
| Mediji | Grāmatas Paperback Book (Grāmata ar mīksto vāku un līmēto muguru) |
| Izlaists | 2021. gada 31. decembris |
| ISBN13 | 9781492085256 |
| Izdevēji | O'Reilly Media |
| Lapas | 350 |
| Izmēri | 234 × 177 × 20 mm · 580 g |
| Valoda | Angļu |
Skatīt visus Abdullah Karasan ( piem., Paperback Book )