Quantitative Methods and Statistics
In this course, you will learn about descriptive statistics such as central tendency, location, disp...
This reading provides an introduction to the concepts and techniques of time value of money. These t...
This learning series covers the fundamental math concepts required for managing a portfolio of asset...
In this course, you will learn about hypothesis testing, used for validating dataset hypotheses, alo...
In this course, you will learn about probability theory and its applications in measuring risk in in...
This course introduces some of the discrete and continuous probability distributions most commonly u...
In the real world, it is often not possible to collect data about an entire population to conduct a ...
Data Science in Finance: 9-Book Bundle
Master R and Python for financial data science with our comprehensive bundle of 9 ebooks.
What's Included:
- Getting Started with R
- R Programming for Data Science
- Data Visualization with R
- Financial Time Series Analysis with R
- Quantitative Trading Strategies with R
- Derivatives with R
- Credit Risk Modelling With R
- Python for Data Science
- Machine Learning in Finance using Python
Each book includes PDFs, explanations, instructions, data files, and R code for all examples.
Get the Bundle for $39 (Regular $57)