four courses in one at python “financial analysis”
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– 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
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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
- beginner python developers curious about data
- financial analysis students
- accountant
- financial employee and managers
- traders