Quantitative Finance & Algorithmic Trading in Python is about the fundamental basics of financial engineering . The main reason of this course is to get a better understanding of the financial crisis . Understand the Modern Portfolio Theory and Markowitz model . Understand interest rate models (Vasicek model) and stochastic processes and the famous Black-Scholes model. Understand Monte-Carlo simulations . Understand value-at-Risk (VaR) and the value of the risk at risk . Understand what you’ll learn about stocks, bonds and other derivatives (futures and options) and understand CDOs and financial crisis. Understand CDOsAuthentication failed. Unique API key is not valid for this user.
Who this course is for:
Anyone who wants to learn the basics of financial engineering!
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Quantitative Finance & Algorithmic Trading in Python free download