Python for Finance: Investment Fundamentals & Data Analytics
Completed by Guillermo Adolfo Coseani
April 29, 2025
12 hours (approximately)
Guillermo Adolfo Coseani's account is verified. Coursera certifies their successful completion of Python for Finance: Investment Fundamentals & Data Analytics
What you will learn
Master the Python programming language and its application to financial data analysis.
Learn to calculate rates of return and measure investment risks using Python.
Apply Markowitz Portfolio Theory and the Capital Asset Pricing Model in portfolio optimization.
Understand and implement Monte Carlo simulations for financial forecasting and decision-making.
Skills you will gain
- Category: Portfolio Risk
- Category: Investment Management
- Category: Return On Investment
- Category: Time Series Analysis and Forecasting
- Category: General Finance
- Category: Jupyter
- Category: Object Oriented Programming (OOP)
- Category: Financial Modeling
- Category: Regression Analysis
- Category: Simulations
- Category: Portfolio Management
- Category: Financial Forecasting

