Chapter 1: Python for Finance
Chapter 2: Getting Started with NumPy,pandas, and Matplotlib
Chapter 3: Time Series Analysis andForecasting
Chapter 4: Measuring Investment Risks
Chapter 5: Portfolio Allocation andMarkowitz Portfolio Optimization
Chapter 6: The Capital Asset Pricing Model
Chapter 7: Regression Analysis in Finance
Chapter 8: Monte Carlo Simulations forDecision Making
Chapter 9: Option Pricing - the BlackScholes Model
Chapter 10: Introduction to Deep Learningwith TensorFlow and Keras
Chapter 11: Stock Market Analysis andForecasting Case Study