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Python for Finance

Python for Finance

By : Yuxing Yan
3.9 (22)
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Python for Finance

Python for Finance

3.9 (22)
By: Yuxing Yan

Overview of this book

A hands-on guide with easy-to-follow examples to help you learn about option theory, quantitative finance, financial modeling, and time series using Python. Python for Finance is perfect for graduate students, practitioners, and application developers who wish to learn how to utilize Python to handle their financial needs. Basic knowledge of Python will be helpful but knowledge of programming is necessary.
Table of Contents (14 chapters)
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13
Index

Importing the math module

When learning finance with real-world data, we deal with many issues such as downloading data from Yahoo! finance, choosing an optimal portfolio, estimating volatility for individual stocks or for a portfolio, and constructing an efficient frontier. For each subject (topic), experts develop a specific module (package). To use them, we have to import them. For example, we can use import math to import all basic math functions. In the following codes, we calculate the square root of a value:

>>>import math
>>>math.sqrt(3)
1.732050807568772

To find out all functions contained in the math module, we call the dir() function again as follows:

>>>import math
>>>dir(math)
['__doc__', '__loader__', '__name__', '__package__', 'acos', 'acosh', 'asin', 'asinh', 'atan', 'atan2', 'atanh', 'ceil', 'copysign', &apos...
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