總結與後續步驟
Python 量化風險管理
Jamsheed Shorish
Computational Economist
後續學習與參考
- 即將上線的 DataCamp 課程
- Credit Risk Modeling in Python
- Financial Forecasting in Python
- Machine Learning for Finance in Python
- GARCH Models for Finance in Python
- Quantitative Risk Management: Concepts, Techniques and Tools,McNeil、Frey 與 Embrechts,Princeton UP,2015。
祝你在資料科學之路一路順利!
Python 量化風險管理
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