Python for Investing: Finance Course
Master Finance with Python: Unleash the Power of AI for Smarter Trading and Risk Management!
5.0
(0)
12 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
AI-Driven Finance: Python for Trading & Risk Management
15 lessons
• 4.5 hours
- Intro to Python for Finance: A Beginner's Guide 24:35
- Portfolio Optimization With AI-Powered Spreadsheet: Maximizing Risk-Adjusted Returns 27:45
- Build a Python Trading Bot for Algorithmic Trading Using AI | Full Tutorial 38:15
- I Used $300 of Cloud Credits to Train an AI Stock Trading Bot 49:53
- Backtesting a Trading Strategy in Python With AI Generated Code 32:57
- Portfolio Optimization in Python: Boost Your Financial Performance 23:07
- Black-Scholes in Python: Option Pricing Made Easy 12:22
- Value at Risk Explained in 5 Minutes 05:09
- Value at Risk (VaR): Historical Method Explained 02:23
- Value at Risk (VaR) In Python: Historical Method 12:31
- Value at Risk (VaR): Parametric Method Explained 03:57
- Value at Risk (VaR) In Python: Parametric Method 14:41
- Value at Risk (VaR): Monte Carlo Method Explained 02:53
- Value at Risk (VaR) In Python: Monte Carlo Method 18:57
- Free Stock Prices in Python & Excel Export | yFinance 07:27
