Sunday, April 19, 2015

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Review for Python for Finance: Analyze Big Financial Data


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An excellent summary of the state-of-the art of Python for Finance
This book could not be more timely. While Python has been the lingua franca for many data science centric disciplines, quantitative finance has only recently embraced the many benefits of this language and it's rich ecosystem of high quality scientific packages. The book manages to cater to all audiences and is suited for people with a background in finance who want to pick up Python, to Pythonistas who want to get started in Finance, as well as beginners in both disciplines.

What I particularly like about this book is its strong focus on applicability. The many code examples of analyzing real world data sets equips readers with the hands-on knowledge required to start analyzing financial data themselves.

Special note should also be made of how state-of-the art the concepts are the book illustrates. Not an easy feat for any book about a topic that moves at the speed of Python.

In sum, I highly recommend this book to anyone who wants to get started...


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Python for Finance: Analyze Big Financial Data

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