Python & Machine Learning for Financial Analysis



Python & Machine Learning for Financial Analysis

Rating 4.52 out of 5 (3944 ratings in Udemy)


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 projects. …
Duration 23 Hours 58 Minutes
Paid

Self paced

All Levels

English (US)

96005

Rating 4.52 out of 5 (3944 ratings in Udemy)

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