Instructors: Sean McOwen +5 more

What you'll learn

  •   Write custom Python code and use existing Python libraries to build and analyse efficient portfolio strategies.
  •   Write custom Python code and use existing Python libraries to estimate risk and return parameters, and build better diversified portfolios.
  •   Learn the principles of supervised and unsupervised machine learning techniques to financial data sets
  •   Gain an understanding of advanced data analytics methodologies, and quantitative modelling applied to alternative data in investment decisions
  • Skills you'll gain

    Specialization - 4 course series

    Advanced Portfolio Construction and Analysis with Python

    Python and Machine Learning for Asset Management

    Python and Machine-Learning for Asset Management with Alternative Data Sets

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