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Python for Finance: Investment Fundamentals & Data Analytics is the name of a video training package in the field of business and in the field of investment and finance. In fact, in this course you will start learning the basics of investing and analyzing data by learning the Python programming language. By watching this training course, you will become fully acquainted with the basics of the Python programming language, and you will be able to solve the problem-solving power in your financial world with the help of this programming language.
Also, the course in front of you is a product of a reputable group and the familiar name of 365 Careers. According to the publishers of this training course, you will learn the necessary skills from elementary to advanced level. You will not need any prerequisites such as programming experience to watch this training course. In this way, you will become a fluent Python programmer to analyze your business just by fully viewing the sessions of this course and learning the concepts, skills and techniques provided.
Learn how to code in Python
Upgrade your level to a new level of working with Python
Learn how to work with functions, sequences, and loops in the Python programming language
Familiarity with scientific packages such as NumPy
Learn how to use Pandas analysis tools
Learn how to display your data on Matplotlib charts
Python for Finance course specifications: Investment Fundamentals & Data Analytics:
Publisher: Udemy
Instructor: 365 Careers
Level: Basic to Advanced
Duration: 08:15:11
Number of lessons: 111 lessons
English language
Python for Finance course titles: Investment Fundamentals & Data Analytics:
Course content 111 lectures 08:15:11
Welcome! Course Introduction 2 lectures 08:04
Introduction to programming with Python 7 lectures 33:22
Python Variables and Data Types 3 lectures 20:13
Basic Python Syntax 7 lectures 15:13
Python Operators Continued 2 lectures 07:45
Conditional Statements 4 lectures 27:44
Python Functions 7 lectures 29:26
Python Sequences 5 lectures 34:49
Using Iterations in Python 6 lectures 32:30
Advanced Python tools 16 lectures 01:04:10
PART II FINANCE: Calculating and Comparing Rates of Return in Python 10 lectures 42:48
PART II Finance: Measuring Investment Risk 10 lectures 41:24
PART II Finance – Using Regressions for Financial Analysis 4 lectures 21:39
PART II Finance – Markowitz Portfolio Optimization 4 lectures 19:34
Part II Finance – The Capital Asset Pricing Model 8 lectures 27:08
Part II Finance: Multivariate regression analysis 2 lectures 12:02
PART II Finance – Monte Carlo simulations as a decision-making tool 13 lectures 56:54
BONUS LECTURE 1 lecture 00:26
Youll need to install Anaconda. We will show you how to do it in one of the first lectures of the course.
All software and data used in the course is free.
After Extract, watch with your favorite Player.
English subtitle
Quality: 720p
Changes:
Version 2020/4 has increased by about 1 hour compared to 2019/2.
Version 2020/6 compared to 2020/4 has changes in the timing of the headlines.
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