AI-Driven Finance: Python for Trading & Risk Management
Master Finance with Python: Unleash the Power of AI for Smarter Trading and Risk Management!
4.0(45)
345 learners
What you'll learn
Understand the basics of Python programming for finance applications
Learn to optimize investment portfolios using AI-powered tools
Develop skills in building and backtesting trading strategies with Python
Master different methods of calculating Value at Risk (VaR) using Python
This course includes
4.5 hours of video
Certificate of completion
Access on mobile and TV
Course content
1 modules
• 15 lessons
• 4.5 hours of video
AI-Driven Finance: Python for Trading & Risk Management
15 lessons
• 4.5 hours
▶
Intro to Python for Finance: A Beginner's Guide24:34
Portfolio Optimization With AI-Powered Spreadsheet: Maximizing Risk-Adjusted Returns27:45
Build a Python Trading Bot for Algorithmic Trading Using AI | Full Tutorial38:15
I Used $300 of Cloud Credits to Train an AI Stock Trading Bot49:53
Backtesting a Trading Strategy in Python With AI Generated Code32:57
Portfolio Optimization in Python: Boost Your Financial Performance23:06
Black-Scholes in Python: Option Pricing Made Easy12:22
Value at Risk Explained in 5 Minutes05:09
Value at Risk (VaR): Historical Method Explained02:23
Value at Risk (VaR) In Python: Historical Method12:30
Value at Risk (VaR): Parametric Method Explained03:56
Value at Risk (VaR) In Python: Parametric Method14:41
Value at Risk (VaR): Monte Carlo Method Explained02:52
Value at Risk (VaR) In Python: Monte Carlo Method18:56
Free Stock Prices in Python & Excel Export | yFinance07:26