This course introduces an overview of financial analytics. You will learn why, when, and how to apply financial analytics in real-world situations. You will explore techniques to analyze time series data and how to evaluate the risk-reward trade off expounded in modern portfolio theory. While most of the focus will be on the prices, returns, and risk of corporate stocks, the analytical techniques can be leverages in other domains. Finally, a short introduction to algorithmic trading concludes the course.

Applying Data Analytics in Finance

223 reviews
What you'll learn
Understand the forecasting process
Describe time series data
Develop an ARIMA Model
Understand a basic trading algorithm
Skills you'll gain
Tools you'll learn
Details to know

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There are 4 modules in this course
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Felipe M.

Jennifer J.

Larry W.

Chaitanya A.
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Reviewed on May 23, 2020
This is a good course for Financial professionals/students who look forward to take up a as Financial Analyst.
Reviewed on Dec 23, 2020
Very nice course. Loved the way of teaching. Thank you so much. Best regards,Enjo
Reviewed on May 14, 2020
Very nice combination of R programming, financial concepts and statistical concepts.

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