Python for Finance: Investment Fundamentals & Data Analytics Review
Overview
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.
If you are a complete beginner and you know nothing about coding, don’t worry! We start from the very basics. The first part of the course is ideal for beginners and people who want to brush up on their Python skills. And then, once we have covered the basics, we will be ready to tackle financial calculations and portfolio optimization tasks.
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Python for Finance: Investment Fundamentals & Data Analytics
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Learn Python Programming and Conduct Real-World Financial Analysis in Python - Complete Python Training
- Monte Carlo simulations
- Derivatives and type of derivatives
- Measuring a regression’s explanatory power with R^2
- Alpha and Beta coefficients
- Regression analysis
- Diversifiable and non-diversifiable risk
- Correlation between stocks
- Risk of stock portfolios
- Rate of return of stock portfolios