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612-822-4611
Financial Mathematics with Python: Methods for Interest Rates, Bonds, Derivatives, Risk, and Portfolios

Financial Mathematics with Python: Methods for Interest Rates, Bonds, Derivatives, Risk, and Portfolios

Paperback

Investing & FinanceProgramming

ISBN13: 9798196860386
Publisher: Independently Published
Published: May 13 2026
Pages: 536
Weight: 1.41
Height: 1.33 Width: 6.00 Depth: 9.00
Language: English
Reactive Publishing

Financial Mathematics with Python is a practical guide to the quantitative methods used in modern finance, investment analysis, and risk modeling. Written for readers who want to connect financial theory with computational implementation, this book introduces core mathematical concepts through clear explanations and Python-based examples.

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Munrow, Danny

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Investing & Finance