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  • Book Overview & Buying Python for Finance
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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

Exercise

1. What is the usage of the module called Pandas?

2. What is the usage of the module called statsmodels?

3. How can you install Pandas and statsmodels?

4. Which module contains the function called rolling_kurt? How can you use the function?

5. Based on daily data downloaded from Yahoo! Finance, find whether IBM's daily returns follows a normal distribution.

6. Based on daily returns in 2012, are the mean returns for IBM and DELL the same? [Hint: you can use Yahoo! Finance as your source of data].

7. How can you replicate the Jagadeech and Tidman (1993) momentum strategy using Python and CRSP data? [Assume that your school has CRSP subscription].

8. How many events happened in 2012 for IBM based on its daily returns?

9. For the following stock tickers, IBM, DELL, WMT, ^GSPC, C, A, AA, MOFT, estimate their variance-covariance and correlation matrices based on the last five-year monthly returns data, for example, from 2008-2012. Which two stocks are strongly correlated?

10. Write a Python...

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83
Tech Concepts
36
Programming languages
73
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Python for Finance
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