Python and Statistics for Financial Analysis

Цена: Бесплатный

День проведения: По запросу

Тип: Электронное обучение

Категория: Бизнес / Менеджмент

Язык: Английский

Местонахождение: Онлайн

Описание тренинга:

Course Overview: https://youtu.be/JgFV5qzAYno Python is now becoming the number 1 programming language for data science. Due to python’s simplicity and high readability, it is gaining its importance in the financial industry. The course combines both python coding and statistical concepts and applies into analyzing financial data, such as stock data. By the end of the course, you can achieve the following using python: - Import, pre-process, save and visualize financial data into pandas Dataframe - Manipulate the existing financial data by generating new variables using multiple columns - Recall and apply the important statistical concepts (random variable, frequency, distribution, population and sample, confidence interval, linear regression, etc. ) into financial contexts - Build a trading model using multiple linear regression model - Evaluate the performance of the trading model using different investment indicators Jupyter Notebook environment is configured in the course platform for practicing python coding without installing any client applications.

Кто может принять участие:

SKILLS YOU WILL GAIN

  • Statistical Analysis
  • Financial Analysis
  • Financial Data Analysis
  • Python Programming
  • Data Visualization (DataViz)

Выступающие:

Xuhu Wan 

Associate Professor

Department of Information Systems, Business Statistics and Operations Management

Профессиональные навыки

Управление бизнесом

Финансы

Участие

Крайний срок регистрации 03 Апрель 2020

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Информация об учебном центре

Тип компании: ОАО/ЗАО/ООО

Количество сотрудников: 500-1500