The Python Podcast.__init__

An Exploration Of Financial Exchange Risk Management Strategies

The Python Podcast.__init__

The world of finance has driven the development of many sophisticated techniques for data analysis. In this episode Paul Stafford shares his experiences working in the realm of risk management for financial exchanges. He discusses the types of risk that are involved, the statistical methods that he has found most useful for identifying strategies to mitigate that risk, and the software libraries that have helped him most in his work.

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