# Python-for-Finance-Cookbook
**Repository Path**: sinomiko/Python-for-Finance-Cookbook
## Basic Information
- **Project Name**: Python-for-Finance-Cookbook
- **Description**: Python for Finance Cookbook, published by Packt
- **Primary Language**: Python
- **License**: Not specified
- **Default Branch**: master
- **Homepage**: None
- **GVP Project**: No
## Statistics
- **Stars**: 0
- **Forks**: 0
- **Created**: 2024-06-17
- **Last Updated**: 2024-10-23
## Categories & Tags
**Categories**: Uncategorized
**Tags**: None
## README
## Python For Finance Cookbook - Code Repository
**Python For Finance Cookbook**
published: January 31st, 2020
Paperback: 432 pages
Publisher: Packt Publishing
Language: English
[]()
## Links
- [Amazon Page](https://www.amazon.com/Python-Finance-Cookbook-libraries-financial-dp-1789618517/dp/1789618517)
- [Packt Page](https://www.packtpub.com/data/python-for-finance-cookbook)
## Table of Contents
1. Financial Data and Preprocessing
2. Technical Analysis in Python
3. Time Series Modeling
4. Multi-Factor Models
5. Modeling Volatility with GARCH Class Models
6. Monte Carlo Simulations in Finance
7. Asset Allocation in Python
8. Identifying Credit Default with Machine Learning
9. Advanced Machine Learning Models in Finance
10. Deep Learning in Finance
---
Eryk Lewinson. *Python For Finance Cookbook*. Packt Publishing, 2020.
@book{Lewinson2019,
address = {Birmingham, UK},
author = {Lewinson, Eryk},
edition = {1},
isbn = {9781789618518},
publisher = {Packt Publishing},
title = {{Python For Finance Cookbook}},
year = {2020}
}### Download a free PDF
If you have already purchased a print or Kindle version of this book, you can get a DRM-free PDF version at no cost.
Simply click on the link to claim your free PDF.