Free Certification Course Title: Quantitative Finance with Python
Learn to Analyze Financial Markets using Python, Data Science, Machine Learning and Technical Analysis.
What you’ll learn:
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Develop a solid understanding about different Financial Markets like Stock Market, Forex Market, Bond Market and Commodity market.
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Learn to Predict Stock Prices and Market Trends using Machine Learning.
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You will learn to analyze different Financial Assets using the tools and concepts of Technical Analysis like support, resistance and moving averages.
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Manage Risk and learn the art of optimal money management and portfolio diversification using Kelly Criterion.
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This course will teach you about different Financial Theories like Efficient Market Hypothesis, Random Walk Theory and Modern Portfolio Theory.
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Learn to Evaluate the risk and volatility adjusted return of a portfolio using Sharpe Ratio.
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Learn to Predict Stock Prices using LSTM Neural Network.
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Learn the complex concepts of Financial Derivatives like Futures and Options in a simplified manner.
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Learn to develop and backtest trading strategies in python.
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This course will explain the advanced concepts of pair trading, arbitrage and algorithmic trading in a simple manner.
Requirements:
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This course expects viewers to have some basic knowledge of Python, Data Science and Machine Learning.
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No knowledge or background in Finance is assumed.