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Participants will explore the many features of Python and practical use cases within financial markets, including data analysis and library creation. With a hands-on Python tutorial at the end of each ...
Unlock deeper analytical capabilities by integrating BQL, Bloomberg’s most advanced data API, with Python via the BQL Object Model. This session will feature practical demonstrations, code ...
Scenario analysis can help portfolio managers manage risk and refine long-term investment strategies. The process models hypothetical scenarios and shows the potential impact on investments.
10 min read Investment Style Analysis: Python Snippets for Evaluating Style Drift Copy and paste these code snippets to evaluate investments for style drift.
Tags: martini.ai, Scenario Builder, Rajiv Bhat, credit analysis, credit intelligence, institutional investors, credit investors, risk managers, asset managers, risk assessment, fintech, credit ...
To meet this need, Bloomberg and Riskthinking.AI have launched an updated physical risk methodology in the first quarter of 2025, that quantifies impact in terms of asset replacement value, with ...
Introduction to Python for Data Analysis Recall that R is a statistical programming language—a language designed to do things like t -tests, regression, and so on. The core of R was developed during ...
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