Python for Asset Management
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The asset management industry is undergoing a paradigm shift toward automation transparency and data-driven decision-making. Traditional tools (Excel Bloomberg) are being replaced by programmable scalable solutions. Yet most finance professionals lack accessible practical training in applying Python to real portfolio problems. Python for Asset Management fills that gap. The book empowers non-programmers – portfolio managers risk analysts and students – to implement advanced models themselves. It responds to the growing demand for quantitative literacy in finance especially in sustainable investing and smart beta strategies areas of active research for both of the authors. Features 31 hands-…
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