Manage Finance Data with Python & Pandas: Unique Masterclass
Analyze Stocks with Pandas, Numpy, Seaborn & ChatGPT. Create, analyze & optimize Index & Portfolios (CAPM, Alpha, Beta)
4.61 (1023 reviews)

12,350
students
29.5 hours
content
Mar 2025
last update
$109.99
regular price
What you will learn
Step into the Financial Analyst role and give advice on a client´s financial Portfolio (Final Project)
Import large Financial Datasets / historical Prices from Web Sources and analyze, aggregate and visualize them
Calculate Return, Risk, Correlation and Rolling Statistics for Stocks, Indexes and Portfolios
Create, analyze and optimize financial Portfolios and understand the use of the Sharpe Ratio
Intuitively understand Modern Portfolio Theory (CAPM, Beta, Alpha, CML, SML, Risk Diversification) with Real Data examples
Create Interactive Price Charts with Technical Indicators (Volume, OHLC, Candlestick, SMA etc.)
Create Financial Indexes (price-, equal- and value- weighted) and understand the difference between Price Return and Total Return
Easily switch between daily, weekly, monthly and annual returns and understand the benefits of log returns
Start from Zero and learn all the Basics of the powerful Pandas Library
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Related Topics
2276027
udemy ID
3/17/2019
course created date
9/24/2019
course indexed date
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