Python For Finance


The most popular programming language used to learn about Data Science, Data Analytics and Machine language, unlike any other software programming languages like HTML , CSS and Java, it is most commonly used for processing Big Data and performing mathematical computations also not to mention writing scripts and telling computers systems with a set of instructions.Here you shall be trained how to use Python for Finance Investments and Data Analytics.

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The course topics outlined here for Python for Finance learning will be as follows:

  • Learn how to code in Python
  • Work with Python conditional statements, functions, sequences and loops
  • Understand how to use data analysis tool kits ,Pandas
  • Use Python to solve real-world tasks.
  • Acquire solid financial acumen.
  • Calculate risk and return of investment portfolios
  • Build investment portfolios
  • Compare securities in terms of their Sharpe ratio
  • Learn how to price options by applying the Black Scholes formula
  • Work with scientific packages, like NumPy
  • Carry out in-depth investment analysis
  • Calculate risk and return of individual securities
  • Apply best practices when working with financial data
  • Perform Monte Carlo simulations
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