Derivatives Analytics with Python: Data Analysis, Models, Simulation, Calibration and Hedging (The Wiley Finance Series)

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Description

Explore the world of derivatives analytics with this comprehensive guide that covers everything from data analysis to hedging strategies. Written by a team of experts, “Derivatives Analytics with Python” is the ultimate resource for anyone looking to dive deep into the world of financial modeling.

This book offers step-by-step instructions on how to utilize Python for analyzing derivatives data, building models, conducting simulations, calibrating models, and implementing effective hedging strategies. With real-world examples and practical exercises, readers will gain a thorough understanding of how to apply advanced techniques in derivatives analytics.

Whether you are a finance professional, student, or enthusiast, this book is a must-have for mastering derivatives analytics. Enhance your skills, expand your knowledge, and stay ahead in the fast-paced world of finance with “Derivatives Analytics with Python.”

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