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Stochastic Finance with Python: Design Financial Models from Probabilistic Perspective First Edition
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This book will show you the techniques to estimate potential financial outcomes using stochastic processes implemented with Python.
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Product Details
| Publisher | Apress |
| Publication date | December 14, 2024 |
| Edition | First Edition |
| Language | English |
| Print length | 412 pages |
| ISBN-13 | 979-8868810510 |
| Item Weight | 1.57 pounds (710 grams) |
| Dimensions | 7.01 x 0.93 x 10 inches (17.8 x 2.4 x 25.4 cm) |
| Country of Origin | This item will be imported from US |
| Date First Available | February 18, 2025 |
| What is in the box | Stochastic Finance with Python:... For more details, please check description/product details |
Who Should Buy?
-
Data Scientists
Ideal for data scientists looking to apply stochastic models in finance using Python for advanced data analysis.
-
Finance Students
Provides a practical approach to stochastic finance concepts, beneficial for students studying finance-related courses.
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Quantitative Analysts
Great resource for quantitative analysts wanting to deepen their knowledge of probabilistic modeling in finance.
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Beginners in Finance
Not suitable for those without prior finance knowledge, as it assumes familiarity with complex financial concepts.
Product Description
Stochastic Finance with Python: Design Financial Models from Probabilistic Perspective First Edition
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Pros
- Comprehensive content coverage
- User-friendly coding examples
- Strong theoretical foundation
- Practical real-world applications
- Engaging writing style
Cons
- Some might find it too detailed at times.
Product Price History
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Features & Benefits
- Learn to estimate financial outcomes with stochastic processes.
- Discover advanced financial modeling techniques using Python.
- Explore key concepts like probability theory and Monte Carlo simulation.
- Understand options pricing through risk-neutral probability and PDE approaches.
- Design reusable financial models with object-oriented Python.
- Ideal for data scientists, quantitative researchers, and financial practitioners.
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