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Python & Machine Learning for Financial Analysis

Via Udemy

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Overview

Master Python Programming Fundamentals and Harness the Power of ML to Solve Real-World Practical Applications in Finance What you'll learn: Master Python 3 programming fundamentals for Data Science and Machine Learning with focus on Finance.Understand how to leverage the power of Python to apply key financial concepts such as calculating daily portfolio returns, risk and Sharpe ratio.Understand the theory and intuition behind Capital Asset Pricing Model (CAPM)Understand how to use Jupyter Notebooks for developing, presenting and sharing Data Science...

Syllabus

  • Course Introduction, Success Tips and Key Learning Outcomes
  • **********PART #1: PYTHON PROGRAMMING FUNDAMENTALS***********
  • Python 101: Variables Assignment, Math Operation, Precedence and Print/Get
  • Python 101: Data Types
  • Python 101: Comparison Operators, Logical Operators, and Conditional Statements
  • Python 101: Loops
  • Python 101: Functions
  • Python 101: Files Operations
  • Python 101: Data Science Python Libraries for Data Analysis (Numpy)
  • Python 101: Data Science Python Libraries for Data Analysis (Pandas)


Python & Machine Learning for Financial Analysis
Go to Class

via Udemy

23 hours 2 minutes

Certificate Available

English

On-Demand

Beginner

Instructor

Dr. Ryan Ahmed | 400K+ Students | Best-Selling Professor | 250K+ YouTube

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