Build real-life Python applications for quantitative finance and financial engineering with this book and ebook Overview Estimate market risk, form various portfolios, and estimate their variance-covariance matrixes using real-world data Explains many financial concepts and trading strategies with the help of graphs A step-by-step tutorial with many Python programs that will help you learn how to apply Python to finance In Detail Python is a free and powerful tool that can be used to build a financial calculator and price options, and can also explain many trading strategies and test various hypotheses. This book details the steps needed to retrieve time series data from different public data sources. Python for Finance explores the basics of progr...