Applied Quantitative Finance: Using Python for Financial Analysis

Author:   Mauricio Garita
Publisher:   Springer Nature Switzerland AG
Edition:   2021 ed.
ISBN:  

9783030291433


Pages:   240
Publication Date:   18 September 2022
Format:   Paperback
Availability:   In Print   Availability explained
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Applied Quantitative Finance: Using Python for Financial Analysis


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Overview

This book provides both conceptual knowledge of quantitative finance and a hands-on approach to using Python. It begins with a description of concepts prior to the application of Python with the purpose of understanding how to compute and interpret results. This book offers practical applications in the field of finance concerning Python, a language that is more and more relevant in the financial arena due to big data. This will lead to a better understanding of finance as it gives a descriptive process for students, academics and practitioners.

Full Product Details

Author:   Mauricio Garita
Publisher:   Springer Nature Switzerland AG
Imprint:   Springer Nature Switzerland AG
Edition:   2021 ed.
ISBN:  

9783030291433


ISBN 10:   303029143
Pages:   240
Publication Date:   18 September 2022
Audience:   Professional and scholarly ,  Professional & Vocational
Format:   Paperback
Publisher's Status:   Active
Availability:   In Print   Availability explained
This item will be ordered in for you from one of our suppliers. Upon receipt, we will promptly dispatch it out to you. For in store availability, please contact us.

Table of Contents

1. How to use python?.- 2. Using data structures in Python.- 3. Using Data in Python.- 4. Descriptive statistics using Python.- 5. Statistical approach to multiple variables.- 6. Comparing stocks between companies.- 7. Porfolio and Risk.- 8. Value at Risk.

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Author Information

Mauricio Garita is an academic, a writer and an economist that has centered his career in the combination of finance and economics with the use of Python. He obtained his first PhD in Political Science and Sociology from the Universidad Pontificia de Salamanca, Spain with a thesis centered on game theory and economic development. Prior to obtaining his PhD, he completed a Master of Science from Manchester Business School, UK and a secondary Master’s in Asset Management from the Instituto de Estudios Bursátiles de la Universidad Complutense, Spain. As an academic, his research is focused on financial issues, economics and competitiveness in Latin America with a special focus in Central America. He has written books and articles on topics such as business in Latin America, the economic impact of the Civil War in Guatemala, the fiscal impact of reforms in Latin America and the impact of the financial crisis in Central America. As a professor he centers his coursesin the areas of economics, project valuation and financial analysis. During his professional career he has worked with organizations such as the World Bank, the Central American Institute of Fiscal Studies, the Secretariat for Central America Economic Integration, Transparency International and on financial consulting. Currently he works at Universidad Francisco Marroquin as a director of the master’s in finance program at the university business school. Before he worked at the finance department at the Universidad del Valle de Guatemala where he assisted in both the creation of the Master’s in Advanced Finance and a collaboration on with the Advanced Risk Portfolio Management (ARPM) program.

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