Download Machine Learning for Financial Management with Python free PDF file. In This PDF notes you’ll learn Machine Learning, Python for financial management. Machine learning is sub field of artificial intelligence its provide ability to the systems to learn and improve from the experience without being explicitly programmed automatically. In this notes you’ll learn Python programming language.
In this notes first you’ll learn the risk management concepts and its types. You’ll learn risk management importance and learn why it is used. This PDF notes is very helpful for researchers, programmers, students and those who is interested to learn about machine learning and financial management.
This Notes Divided into Two Parts
- Risk Management Foundation
- Machine Learning for Market, Credit, Liquidity and Operational Risk
You Cover These Topics in This Notes:
Learn Fundamentals of Risk Management
Introduction of Risk
Introduction of Risk Management
Main Financial Risk
Market Risk
Learn Introduction to Time Series Modeling
Learn Time Series Components
Learn Deep Learning for Time Series Modeling
Learn Recurrent Neural Network
Learn Long Short Term Memory
Learn Machine Learning Base Volatility Prediction
Neural Network
Learn Market Risk
Learn Value at Risk