About This Course
Would like to embark on an exciting journey from A-Z to explore how Python can be applied in the world of Finance? Then fasten your seat belt and go! The comprehensive and practical Financial Analysis in Python course is designed for people both disciplines - Finance and Computer Science. The first half of the guide is focused on basic coding and syntax in Python, the second half - on investment analysis. The Finance block of this course will teach you in-demand real-world skills employers are looking for. It covers many tools and techniques used by finance professionals daily: Risk of stocks, Covariance, Alpha and Beta coefficients, Sharpe, Monte Carlo simulations, Regression analysis. Everything you will learn has been explained in the plain way via easy to understand English. Don’t worry, your journey will be successful!