Description
In this course, you will :
- 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.