Cargando…
Machine Learning for Financial Risk Management with Python
Autor principal: | |
---|---|
Lenguaje: | eng |
Publicado: |
O'Reilly Media Inc
2021
|
Materias: | |
Acceso en línea: | http://cds.cern.ch/record/2758513 |
_version_ | 1780970155291967488 |
---|---|
author | Karasan, Abdullah |
author_facet | Karasan, Abdullah |
author_sort | Karasan, Abdullah |
collection | CERN |
id | cern-2758513 |
institution | Organización Europea para la Investigación Nuclear |
language | eng |
publishDate | 2021 |
publisher | O'Reilly Media Inc |
record_format | invenio |
spelling | cern-27585132021-04-21T16:40:28Zhttp://cds.cern.ch/record/2758513engKarasan, AbdullahMachine Learning for Financial Risk Management with PythonXXO'Reilly Media Incoai:cds.cern.ch:27585132021 |
spellingShingle | XX Karasan, Abdullah Machine Learning for Financial Risk Management with Python |
title | Machine Learning for Financial Risk Management with Python |
title_full | Machine Learning for Financial Risk Management with Python |
title_fullStr | Machine Learning for Financial Risk Management with Python |
title_full_unstemmed | Machine Learning for Financial Risk Management with Python |
title_short | Machine Learning for Financial Risk Management with Python |
title_sort | machine learning for financial risk management with python |
topic | XX |
url | http://cds.cern.ch/record/2758513 |
work_keys_str_mv | AT karasanabdullah machinelearningforfinancialriskmanagementwithpython |