ERP升级至S4HANA 第六步:Finance Migration
2021-02-04 13:03:33 1.67MB SAP
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將CFA LEVEL 1 至LEVEL 2 同內容的組合在一起, 加了標籤
2021-02-03 12:06:10 8.89MB CFA
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LearnPythonforResearch:此存储库提供了开始使用Python进行(社会科学)研究所需的一切
2021-02-03 09:37:41 10.23MB python finance data-science tutorial
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IEX-API:IEX API提供任何希望开发应用程序的个人或学术机构,公共或私人机构,这些应用程序要求股票市场数据访问IEX上所有股票的近实时报价和交易数据
2021-02-02 03:36:05 4KB api finance real-time fintech
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项目WOLF Binance trading bot for NodeJS. 如果您获得/损失金钱,这不是我的责任。 没有完美的软件。 请仔细阅读代码库/文档,以了解所承担的风险。 建立 在您的根目录中创建一个.env文件。 将template.env复制并粘贴到.env 填写所需的环境变量 npm test (可选) npm run simulator npm start 发行说明 v3.6.1 2018年6月13日 重构的监视列表 v3.6.0 2018年6月12日 功能要求:更好的终端日志记录,不会让您想吐。 README.md更新 v3.5.0 2018年5月27日 特点:完全集成的测试套件! npm run simulation 。 可以随意运行它多次,它只会模仿订单,而不会创建真正的订单。 BUGFIX:止损限制现在可以正确触发。 BUGFIX:quantitySigFig()现在可以正确检查来自binanace websocket的正确引用。 v3.4.2 2018年5月23日 BUGFIX:USDT的quantitySigFig()现在可以正确返回非
2021-02-02 03:34:00 25KB nodejs javascript bot finance
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根据各家网课,整理 的 CFA 二级 思维导图,希望能对大家有用
2021-01-29 14:04:42 408KB CFA 思维导图
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Microsoft认证考试 MB300 Microsoft Dynamics 365 Core Finance and Operations 英文最新题库
2021-01-28 02:34:37 4.39MB microsoft
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Use R to optimize your trading strategy and build up your own risk management system About This Book Learn to manipulate, visualize, and analyze a wide range of financial data with the help of built-in functions and programming in R Understand the concepts of financial engineering and create trading strategies for complex financial instruments Explore R for asset and liability management and capital adequacy modeling Who This Book Is For This book is intended for those who want to learn how to use R's capabilities to build models in quantitative finance at a more advanced level. If you wish to perfectly take up the rhythm of the chapters, you need to be at an intermediate level in quantitative finance and you also need to have a reasonable knowledge of R. What You Will Learn Analyze high frequency financial data Build, calibrate, test, and implement theoretical models such as cointegration, VAR, GARCH, APT, Black-Scholes, Margrabe, logoptimal portfolios, core-periphery, and contagion Solve practical, real-world financial problems in R related to big data, discrete hedging, transaction costs, and more. Discover simulation techniques and apply them to situations where analytical formulas are not available Create a winning arbitrage, speculation, or hedging strategy customized to your risk preferences Understand relationships between market factors and their impact on your portfolio Assess the trade-off between accuracy and the cost of your trading strategy In Detail R is a powerful open source functional programming language that provides high level graphics and interfaces to other languages. Its strength lies in data analysis, graphics, visualization, and data manipulation. R is becoming a widely used modeling tool in science, engineering, and business. The book is organized as a step-by-step practical guide to using R. Starting with time series analysis, you will also learn how to forecast the volume for VWAP Trading. Among other topics, the book covers FX deriva
2020-03-13 03:14:43 3.71MB R Quantitative Finance
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Python for Finance - Second Edition(pdf+epub+mobi+code_files).zip
2019-12-21 22:22:56 8.85MB python finance
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Corporate Finanace, an English book by Pearson Berk Jonat
2019-12-21 22:03:36 9.08MB Finance
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