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Machine Learning for Finance Master Financial Strategies with Python-Powered Machine Learning - Hayden Van Der Post, Vincent Bisette 2024 PDF | EPUB | MOBI Reactive Publishing BOOKS
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Machine Learning for Finance Master Financial Strategies with Python-Powered Machine Learning
Author: Hayden Van Der Post, Vincent Bisette
Year: 2024
Format: PDF | EPUB | MOBI
File size: 10.1 MB
Language: ENG



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Machine Learning for Finance Master Financial Strategies with PythonPowered Machine Learning The world of finance has been revolutionized by machine learning, which has enabled financial institutions to make more accurate predictions and better decisions. This book provides a comprehensive introduction to machine learning techniques that can be applied to financial data analysis. It covers the fundamentals of machine learning, including supervised and unsupervised learning, neural networks, and deep learning, as well as practical examples of how these methods can be used in finance. The book also discusses the challenges of implementing machine learning in finance and offers solutions to overcome them. The book begins by introducing the reader to the basics of machine learning and its applications in finance. It then delves into the various types of machine learning algorithms, such as decision trees, random forests, support vector machines, and neural networks, explaining their strengths and weaknesses. The book also explores the use of deep learning techniques, such as recurrent neural networks and convolutional neural networks, in finance.
Machine arning for Finance Master Financial Strategies with PythonPowered Machine arning Мир финансов был революционизирован благодаря машинному обучению, которое позволило финансовым учреждениям делать более точные прогнозы и принимать лучшие решения. Эта книга содержит исчерпывающее введение в методы машинного обучения, которые могут быть применены к анализу финансовых данных. Он охватывает основы машинного обучения, включая обучение с учителем и без учителя, нейронные сети и глубокое обучение, а также практические примеры того, как эти методы могут быть использованы в финансах. В книге также обсуждаются проблемы внедрения машинного обучения в финансы и предлагаются решения для их преодоления. Книга начинается с знакомства читателя с основами машинного обучения и его приложениями в финансах. Затем он углубляется в различные типы алгоритмов машинного обучения, такие как деревья решений, случайные леса, машины опорных векторов и нейронные сети, объясняя их сильные и слабые стороны. Книга также исследует использование методов глубокого обучения, таких как рекуррентные нейронные сети и сверточные нейронные сети, в финансах.
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