Course curriculum

    1. Welcome to Python for Finance

    2. Introduction to Financial Concepts in Python 4 hrs

    3. Manipulating Time Series Data in Python 4 hrs

    1. Univariate Investment Risk and Returns

    2. Portfolio Investing

    1. Financial Trading in Python 4 hrs

    1. Analyze Your Stock Portfolio for Risks and Returns 1hr

    1. Introduction to Portfolio Risk Management in Python

    2. Quantitative Risk Management in Python

    3. Credit Risk Modeling in Python

    4. GARCH Models in Python

About this course

  • 11 lessons

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