Jump to ratings and reviews
Rate this book

Mastering Pandas for Finance

Rate this book
This book will teach you to use Python and the Python Data Analysis Library (pandas) to solve real-world financial problems.

Starting with a focus on pandas data structures, you will learn to load and manipulate time-series financial data and then calculate common financial measures, leading into more advanced derivations using fixed- and moving-windows. This leads into correlating time-series data to both index and social data to build simple trading algorithms. From there, you will learn about more complex trading algorithms and implement them using open source back-testing tools. Then, you will examine the calculation of the value of options and Value at Risk. This then leads into the modeling of portfolios and calculation of optimal portfolios based upon risk. All concepts will be demonstrated continuously through progressive examples using interactive Python and IPython Notebook.

By the end of the book, you will be familiar with applying pandas to many financial problems, giving you the knowledge needed to leverage pandas in the real world of finance.

259 pages, Paperback

First published May 25, 2015

13 people are currently reading
28 people want to read

About the author

Michael Heydt

6 books1 follower

Ratings & Reviews

What do you think?
Rate this book

Friends & Following

Create a free account to discover what your friends think of this book!

Community Reviews

5 stars
4 (21%)
4 stars
8 (42%)
3 stars
5 (26%)
2 stars
2 (10%)
1 star
0 (0%)
Displaying 1 of 1 review
52 reviews
April 8, 2020
Good book, but not for beginners. It needs little prerequisite knowledge on Python and Finance/Stock Markets/Derivatives.
Displaying 1 of 1 review

Can't find what you're looking for?

Get help and learn more about the design.