This course will enable you mastering machine-learning approaches in the area of investment management. It has been designed by two thought leaders in their field, Lionel Martellini from EDHEC-Risk Institute and John Mulvey from Princeton University. Starting from the basics, they will help you build practical skills to understand data science so you can make the best portfolio decisions.



Python and Machine Learning for Asset Management
This course is part of Investment Management with Python and Machine Learning Specialization


Instructors: Claudia Carrone
Access provided by Kaveri College of Arts, Science and Commerce
20,013 already enrolled
(331 reviews)
What you'll learn
- Learn the principles of supervised and unsupervised machine learning techniques to financial data sets 
- Understand the basis of logistical regression and ML algorithms for classifying variables into one of two outcomes 
- Utilize powerful Python libraries to implement machine learning algorithms in case studies 
- Learn about factor models and regime switching models and their use in investment management 
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There are 5 modules in this course
What's included
9 videos5 readings1 assignment1 discussion prompt1 ungraded lab
What's included
8 videos1 reading1 assignment
What's included
8 videos3 readings1 assignment1 discussion prompt
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7 videos4 readings1 assignment
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7 videos2 readings1 assignment
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331 reviews
- 5 stars24.09% 
- 4 stars15.36% 
- 3 stars24.39% 
- 2 stars18.67% 
- 1 star17.46% 
Showing 3 of 331
Reviewed on Feb 17, 2021
Good overview on Machine Learning techniques, need for some basic knowledge in statistics and Python for an optimized experience.
Reviewed on May 11, 2022
Very nice course sharing many types of knowledges around data / cleaning / type of data / several algorithms / organised Python coding
Reviewed on Dec 7, 2020
Excellent course, very helpful for my research work
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