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Mathematical and Quantitative Methods

9781527539594-2
View more This product has multiple variants. The options may be chosen on the product page
From £37.99
This book uses real-world cases to show how to analyse volatile financial time series with statistical analysis, machine learning, and deep learning. Learn to build predictive models to forecast stock prices and construct profitable portfolios using Python and R.

This book uses real-world cases to show how to analyse volatile financial time series with statistical analysis, machine learning, and deep learning. Learn to build predictive models to forecast stock prices and construct profitable portfolios using Python and R.

View more This product has multiple variants. The options may be chosen on the product page
9781527539594-2
View more This product has multiple variants. The options may be chosen on the product page
From £37.99
Using real-world cases, this book illustrates how to handle volatile financial time series data. Learn to apply statistical, machine learning, and deep learning techniques with R and Python to build robust predictive models and construct profitable investment portfolios.

Using real-world cases, this book illustrates how to handle volatile financial time series data. Learn to apply statistical, machine learning, and deep learning techniques with R and Python to build robust predictive models and construct profitable investment portfolios.

View more This product has multiple variants. The options may be chosen on the product page