Back to Python and Machine-Learning for Asset Management with Alternative Data Sets
EDHEC Business School

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

Over-utilization of market and accounting data over the last few decades has led to portfolio crowding, mediocre performance and systemic risks, incentivizing financial institutions which are looking for an edge to quickly adopt alternative data as a substitute to traditional data. This course introduces the core concepts around alternative data, the most recent research in this area, as well as practical portfolio examples and actual applications. The approach of this course is somewhat unique because while the theory covered is still a main component, practical lab sessions and examples of working with alternative datasets are also key. This course is fo you if you are aiming at carreers prospects as a data scientist in financial markets, are looking to enhance your analytics skillsets to the financial markets, or if you are interested in cutting-edge technology and research as they apply to big data. The required background is: Python programming, Investment theory , and Statistics. This course will enable you to learn new data and research techniques applied to the financial markets while strengthening data science and python skills.

Status: Investments
Status: Network Analysis
IntermediateCourse21 hours

Featured reviews

KR

5.0Reviewed Nov 30, 2019

Different from the other 3 courses but extremely interesting

FA

5.0Reviewed Jul 13, 2021

Very comprehensive, hands-on course. Strongly recommended

KJ

5.0Reviewed Nov 23, 2020

Great overview of how nontraditional data has been applied to finance. The programming aspect of it was very well-done, too

SB

4.0Reviewed Dec 26, 2020

Interesting course and good worked examples in the included Labs.

KT

4.0Reviewed May 4, 2021

Really good! Using real-world dataset and professional experts in the finance industry , unfortunately no live coding but good explanation of the code

KU

5.0Reviewed Jan 2, 2021

Great lab sessions and very well explained theory. Delivers strong intuition to the student.

TL

5.0Reviewed Jun 22, 2021

I enjoyed the course. Useful introductions, codes and real-world applications of the codes.

LF

5.0Reviewed Apr 29, 2020

Very interesting course. Instructors are quite good. The graded quiz could be less theoretical and a bit more practical/applied.

RO

5.0Reviewed Mar 5, 2020

Excellent view into modern financial research in the use of alternative data sets including valuable demonstration in implementation.

RP

4.0Reviewed May 14, 2020

Good course with great practical content and insights into alternative data sets. I would have liked to see some more involved textual analysis techniques.

JL

5.0Reviewed Apr 18, 2021

Very In-depth technical and informative. Very interesting to integrate data analysis with the current practice in investment management

PE

4.0Reviewed Sep 3, 2021

Great course, combine state-of-the-art Python and machine learning, with the theory and practical test of investment management.

All reviews

Showing: 20 of 63

Loc Nguyen
5.0
Reviewed Jan 4, 2020
Fabien Nugier
5.0
Reviewed Feb 6, 2020
Marco Kemper
2.0
Reviewed Jul 12, 2020
Rehan
3.0
Reviewed Apr 13, 2020
Andrea Casati
3.0
Reviewed Jan 16, 2020
Carlos Jimenez Uribe-Echeverria
5.0
Reviewed Nov 1, 2020
Antony Jackson
5.0
Reviewed Oct 15, 2020
Alex T
5.0
Reviewed Mar 5, 2020
Brian Branch
5.0
Reviewed Mar 31, 2021
Runar Oesthaug
5.0
Reviewed Mar 6, 2020
Kevin WESTLAND
4.0
Reviewed Apr 2, 2020
Vadim T
3.0
Reviewed May 22, 2020
Jerry Handford
5.0
Reviewed May 20, 2020
Dirk Wijns
5.0
Reviewed Feb 5, 2020
Hernan Silvano Lima
5.0
Reviewed May 1, 2020
Ravi Teja
3.0
Reviewed Mar 22, 2022
Kenneth Nicholaus
3.0
Reviewed Jul 14, 2022
ALI RAHIMI
5.0
Reviewed Jun 23, 2021
Inna Podlesnaya
5.0
Reviewed Nov 14, 2020
Alessandro Fazio
5.0
Reviewed Jan 8, 2023