Python for Finance Cookbook
Over 50 recipes for applying modern Python libraries to financial data analysis
Language - English
Updated on Oct, 2020
About the Book
Book description
Solve common and not-so-common financial problems using Python libraries such as NumPy, SciPy, and pandas
Key Features
- Use powerful Python libraries such as pandas, NumPy, and SciPy to analyze your financial data
- Explore unique recipes for financial data analysis and processing with Python
- Estimate popular financial models such as CAPM and GARCH using a problem-solution approach
Book Description
Python is one of the most popular programming languages used in the financial industry, with a huge set of accompanying libraries.
In this book, you'll cover different ways of downloading financial data and preparing it for modeling. You'll calculate popular indicators used in technical analysis, such as Bollinger Bands, MACD, RSI, and backtest automatic trading strategies. Next, you'll cover time series analysis and models, such as exponential smoothing, ARIMA, and GARCH (including multivariate specifications), before exploring the popular CAPM and the Fama-French three-factor model. You'll then discover how to optimize asset allocation and use Monte Carlo simulations for tasks such as calculating the price of American options and estimating the Value at Risk (VaR). In later chapters, you'll work through an entire data science project in the financial domain. You'll also learn how to solve the credit card fraud and default problems using advanced classifiers such as random forest, XGBoost, LightGBM, and stacked models. You'll then be able to tune the hyperparameters of the models and handle class imbalance. Finally, you'll focus on learning how to use deep learning (PyTorch) for approaching financial tasks.
By the end of this book, you’ll have learned how to effectively analyze financial data using a recipe-based approach.
What you will learn
- Download and preprocess financial data from different sources
- Backtest the performance of automatic trading strategies in a real-world setting
- Estimate financial econometrics models in Python and interpret their results
- Use Monte Carlo simulations for a variety of tasks such as derivatives valuation and risk assessment
- Improve the performance of financial models with the latest Python libraries
- Apply machine learning and deep learning techniques to solve different financial problems
- Understand the different approaches used to model financial time series data
Who this book is for
This book is for financial analysts, data analysts, and Python developers who want to learn how to implement a broad range of tasks in the finance domain. Data scientists looking to devise intelligent financial strategies to perform efficient financial analysis will also find this book useful. Working knowledge of the Python programming language is mandatory to grasp the concepts covered in the book effectively.

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Author Details

<a href="https://market.tutorialspoint.com/author/eryk_lewinson">Eryk Lewinson</a>
Packt are an established, trusted, and innovative global technical learning publisher, founded in Birmingham, UK with over eighteen years experience delivering rich premium content from ground-breaking authors and lecturers on a wide range of emerging and established technologies for professional development.
Packt’s purpose is to help technology professionals advance their knowledge and support the growth of new technologies by publishing vital user focused knowledge-based content faster than any other tech publisher, with a growing library of over 9,000 titles, in book, e-book, audio and video learning formats, our multimedia content is valued as a vital learning tool and offers exceptional support for the development of technology knowledge.
We publish on topics that are at the very cutting edge of technology, helping IT professionals learn about the newest tools and frameworks in a way that suits them.
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