Merge traditional technical analysis with modern Python-driven strategies using a practical, code-first approach. Update classic indicators, develop innovative volatility tools, and automatically detect reversal, harmonic, and timing patterns to navigate today’s dynamic financial markets with adaptive precision.
I have a question about the book:
'Mastering Financial Markets with Python - Kaabar, Sofien'.
Fill in the form below.
We will respond as fast as possible.
We value your privacy
We use cookies to measure traffic, improve Boekstra and let Google tailor ads to your interests. You can keep using the site either way — even if you decline. More info