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    Python for Finance: Investment Fundamentals & Data Analytics [Updated]

    Posted By: naag
    Python for Finance: Investment Fundamentals & Data Analytics [Updated]

    Python for Finance: Investment Fundamentals & Data Analytics
    MP4 | Video: AVC 1280x720 | Audio: AAC 44KHz 2ch | Duration: 7 Hours | Lec: 111 | 0.99 GB
    Genre: eLearning | Language: English

    Learn Python Programming and Conduct Real-World Financial Analysis in Python - Complete Python Training

    Do you want to learn how to use Python in a real working environment?

    Are you a young professional interested in a career in Data Science?

    Would you like to explore how Python can be applied in the world of Finance and solve portfolio optimization problems?

    If so, then this is the right course for you!

    We are proud to present Python for Finance: Investment Fundamentals and Data Analytics – one of the most interesting and complete courses we have created so far. It took our team slightly over four months to create this course, but now, it is ready and waiting for you.

    An exciting journey from A-Z.

    If you are a complete beginner and you know nothing about coding, don’t worry! We will start from the very basics. The first part of the course is ideal for beginners and people who want to brush up their Python skills. And then, once we have covered the basics, we will be ready to tackle financial calculations and portfolio optimization tasks.

    Finance Fundamentals.

    And it gets even better! The Finance block of this course will teach you in-demand real-world skills employers are looking for. To be a high-paid programmer, you will have to specialize in a particular area of interest. In this course, we will focus on Finance, covering many tools and techniques used by finance professionals daily:

    Rate of return of stocks
    Risk of stocks
    Rate of return of stock portfolios
    Risk of stock portfolios
    Correlation between stocks
    Covariance
    Diversifiable and non-diversifiable risk
    Regression analysis
    Alpha and Beta coefficients
    Measuring a regression’s explanatory power with R^2
    Markowitz Efficient frontier calculation
    Capital asset pricing model
    Sharpe ratio
    Multivariate regression analysis
    Monte Carlo simulations
    Using Monte Carlo in a Corporate Finance context
    Derivatives and type of derivatives
    Applying the Black Scholes formula
    Using Monte Carlo for options pricing
    Using Monte Carlo for stock pricing
    Everything is included! All these topics are first explained in theory and then applied in practice using Python.

    Is there a better way to reinforce what you have learned in the first part of the course?

    This course is great, even if you are an experienced programmer, as we will teach you a great deal about the finance theory and mechanics you would need if you start working in a finance context.

    Teaching is our passion.

    Everything we will study has been explained in the best way possible. Plain and easy to understand English. Relevant examples. Time efficient videos. Don’t forget to check out some of our sample videos and see they are easy to understand.

    Python for Finance: Investment Fundamentals & Data Analytics [Updated]