Quantitative Finance & Algorithmic Trading in Python
Stock Market, Bonds, Markowitz-Portfolio Theory, CAPM, Black-Scholes Model, Value at Risk and Monte-Carlo Simulations
4.72 (2120 reviews)

20,012
students
15 hours
content
Nov 2023
last update
$109.99
regular price
What you will learn
Understand stock market fundamentals
Understand bonds and bond pricing
Understand the Modern Portfolio Theory and Markowitz model
Understand the Capital Asset Pricing Model (CAPM)
Understand derivatives (futures and options)
Understand credit derivatives (credit default swaps)
Understand stochastic processes and the famous Black-Scholes model
Understand Monte-Carlo simulations
Understand Value-at-Risk (VaR)
Understand CDOs and the financial crisis
Understand interest rate models (Vasicek model)
Screenshots




1350350
udemy ID
9/14/2017
course created date
11/7/2019
course indexed date
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