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Python for Finance: Investment Fundamentals & Data Analytics

In this course, I learnt how to build financial models in python. Starting with the basics, which was great for someone like me who needed a refresher on Python. As we progressed, we delved into the world of financial calculations and portfolio optimization. The Finance section was particularly enlightening, providing practical skills highly sought after by employers. We covered a wide range of tools and techniques used in finance, from rate of return to Monte Carlo simulations, all applied using Python. This hands-on approach reinforced my understanding and skills. Even as an experienced programmer, I gained valuable insights into finance theory and mechanics that are crucial in a financial context.

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