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Mastering Python for Finance - Second Edition
book

Mastering Python for Finance - Second Edition

by James Ma Weiming
April 2019
Intermediate to advanced
426 pages
11h 13m
English
Packt Publishing
Content preview from Mastering Python for Finance - Second Edition

Summary

In this chapter, we set up our working environment with Python 3.7 and used the virtual environment package to manage separate package installations. The pip command is a handy Python package manager that easily downloads and installs Python modules, including Jupyter, Quandl, and pandas. Jupyter is a browser-based interactive computational environment for executing Python code and visualizing data. With a Quandl account, we can easily obtain high-quality time series datasets. These sources of data are contributed by various data publishers. Datasets directly download into a pandas DataFrame object that allows us to perform financial analytics, such as plotting daily percentage returns, histograms, Q-Q plots, correlations, simple ...

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Publisher Resources

ISBN: 9781789346466Supplemental Content