Machine Learning for Financial Risk Management with Python : Algorithms for Modeling Risk by Abdullah Karasan (2022, Trade Paperback)

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Subtitle Algorithms for Modeling Risk. You'll learn how to compare results from ML models with results obtained by traditional financial risk models. AU Release Date 2021-12-31. NZ Release Date 2021-12-31.

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Product Identifiers

PublisherO'reilly Media, Incorporated
ISBN-101492085251
ISBN-139781492085256
eBay Product ID (ePID)5049971355

Product Key Features

Subject AreaComputers, Business & Economics
Publication NameMachine Learning for Financial Risk Management with Python : Algorithms for Modeling Risk
SubjectComputer Science, Economics / General, Insurance / Risk Assessment & Management
Publication Year2022
TypeTextbook
FormatTrade Paperback
LanguageEnglish
AuthorAbdullah Karasan
Number of Pages331 Pages

Dimensions

Item Length9.1 in
Item Height0.8 in
Item Weight20.5 Oz
Item Width7 in

Additional Product Features

Intended AudienceScholarly & Professional
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