Hi everyone,
I'm preparing for my Python for Economists exam and could really use some guidance. The exam focuses on applying Python to economic models and data analysis, and I'm struggling with some of the concepts and coding tasks.
If you're experienced in the area of Currency Hedging, Zero Coupon Bonds, Covariance Matrixes, Simulatiopns vs analytical distributions.... and have some time to help me out, I'd be happy to compensate you for your support. Please feel free to reach out, and we can discuss the details!
I have attached the exam for reference!
Help would be greatly appreciated!
Thanks in advance,
Lars
I'm preparing for my Python for Economists exam and could really use some guidance. The exam focuses on applying Python to economic models and data analysis, and I'm struggling with some of the concepts and coding tasks.
If you're experienced in the area of Currency Hedging, Zero Coupon Bonds, Covariance Matrixes, Simulatiopns vs analytical distributions.... and have some time to help me out, I'd be happy to compensate you for your support. Please feel free to reach out, and we can discuss the details!
I have attached the exam for reference!
Help would be greatly appreciated!
Thanks in advance,
Lars