Data-Driven Investing with Python | Financial Data Science
Become a Data Driven Investor. Make Profitable, Robust, Statistically-Backed Investment Decisions | Quantitative Finance
4.61 (166 reviews)

3,362
students
13.5 hours
content
Jan 2025
last update
$84.99
regular price
What you will learn
Remove the "guesswork" from your investing forever by learning how to statistically test and validate your investment ideas rigorously on Python
Discover and master the systematic and scientific Data Driven Investing process that will transform the way you analyse investments forever
Apply everything you learn using rich, large real world data (without compromising on the mathematical and theoretical integrity of concepts)
Learn how to leverage incredibly powerful relationships and rigorous Financial Data Science techniques on Python to generate Alpha (seriously)
Understand why the math works (and why equations work the way they do) - even if your math is weak and if math freaks you out.
Explore evergreen concepts like Expected Returns, Asset Pricing Models, and Portfolio Construction in unique Financial Data Science settings, leveraging Pandas
Learn and apply powerful Quantitative Finance techniques including "sorts" to create and design portfolios, regressions to "test for alpha", and much more
Discover how to quantify risk and returns of individual stocks and investment portfolios, both manually as well as on Python working with real-world data
4224444
udemy ID
8/5/2021
course created date
10/21/2021
course indexed date
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