Professional Certificate in Financial Data Science and Investment Analysis
-- ViewingNowThe Professional Certificate in Financial Data Science and Investment Analysis is a comprehensive course designed to equip learners with essential skills for career advancement in the financial industry. This program integrates data science and investment analysis, covering key topics like financial modeling, portfolio management, and machine learning algorithms for financial forecasting.
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⢠Financial Data Analysis: Introduction to financial data analysis, data cleaning, and data preprocessing.
⢠Statistical Methods in Finance: Descriptive and inferential statistics, probability distributions, hypothesis testing, and regression analysis.
⢠Time Series Analysis: Autoregressive (AR), moving average (MA), and autoregressive moving average (ARMA) models, seasonal decomposition of time series, and exponential smoothing.
⢠Financial Econometrics: Econometric models, vector autoregression (VAR), and generalized method of moments (GMM).
⢠Portfolio Management: Portfolio theory, modern portfolio theory (MPT), efficient frontier, and risk management.
⢠Financial Instruments and Markets: Financial instruments, market structures, and trading mechanisms.
⢠Quantitative Trading Strategies: Algorithmic trading, high-frequency trading, statistical arbitrage, and market microstructure.
⢠Machine Learning for Finance: Supervised and unsupervised learning, decision trees, random forests, and neural networks.
⢠Risk Management in Financial Data Science: Value at risk (VaR), expected shortfall (ES), and stress testing.
⢠Python for Financial Data Science: Python programming, NumPy, Pandas, Matplotlib, and Scikit-learn.
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