What Will I Learn from the course "Python for Finance: Investment Fundamentals & Data Analytics"?
- Learn how to code in Python
- Take your career to the next level
- Be able to work with Python’s conditional statements, functions, sequences, and loops
- Work with scientific packages, like NumPy
- Understand how to use the data analysis toolkit, Pandas
- Plot graphs with Matplotlib
- Use Python to solve real-world tasks
- Get a job as a data scientist with Python
- Acquire solid financial acumen
- Carry out in-depth investment analysis
- Build investment portfolios
- Calculate risk and return of individual securities
- Calculate risk and return of investment portfolios
- Apply best practices when working with financial data
- Use univariate and multivariate regression analysis
- Understand the Capital Asset Pricing Model
- Compare securities in terms of their Sharpe ratio
- Perform Monte Carlo simulations
- Learn how to price options by applying the Black Scholes formula
- Be comfortable applying for a developer job in a financial institution
Includes:
- 6.5 hours on-demand video
- 39 Supplemental Resources
- Full lifetime access
- Access on mobile and TV
- Certificate of Completion
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