Investment Analysis & Portfolio Management with Python - Financial Analysis Done Right - Rigorously Analyse Investments & Manage Portfolios using Python for Finance / Investing
Created by Fervent #LearnWithDistinction, Support from Fervent
The Finance and Investment Industry is experiencing a dramatic change driven by ever-increasing processing power & connectivity and the introduction of powerful Machine Learning tools. The Finance and Investment Industry is more and more shifting from a math/formula-based business to a data-driven business.
What you'll 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
Frequently Bought Together
- Importing Finance Data with Python from Free Web Sources
- Manage Finance Data with Python & Pandas: Unique Masterclass
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