jamesmawm/mastering-python-for-finance-second-edition

Sources codes for: Mastering Python for Finance, Second Edition

52
/ 100
Established

This project provides practical code examples for financial professionals to perform complex calculations, analyze market data, and build trading systems. It takes raw financial data (like stock prices or interest rates) and transforms it into insights for modeling, risk management, and strategic decision-making. Traders, quantitative analysts, portfolio managers, and financial researchers will find these resources valuable.

442 stars.

Use this if you are a finance professional who needs to implement advanced financial models, analyze market trends, or develop algorithmic trading strategies using Python.

Not ideal if you are looking for a ready-to-use application with a graphical interface or if you are not comfortable with coding.

quantitative-finance algorithmic-trading risk-management financial-modeling portfolio-analytics
No License No Package No Dependents
Maintenance 10 / 25
Adoption 10 / 25
Maturity 8 / 25
Community 24 / 25

How are scores calculated?

Stars

442

Forks

120

Language

Jupyter Notebook

License

Last pushed

Feb 03, 2026

Commits (30d)

0

Get this data via API

curl "https://pt-edge.onrender.com/api/v1/quality/ml-frameworks/jamesmawm/mastering-python-for-finance-second-edition"

Open to everyone — 100 requests/day, no key needed. Get a free key for 1,000/day.