What You Will Learn
The course Introduction to Portfolio Management with Python is designed for individuals with a foundational understanding of Python, probability theory and statistics.
Its primary goal is to introduce key financial concepts, with an emphasis on diversified investing.
Throughout this course, you will learn:
-
Fundamental financial concepts, such as investing, asset, portfolio, return and risk;
-
Ways for computing different kinds of risk and return using Python;
-
Trade-off between high return and low risk;
-
How to create portfolios with the smallest risk of financial loss and with the most justified risk by potential return;
-
Classification of external factors and their potential impact on our portfolio.
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What You Will Learn
Sveip for å vise menyen
The course Introduction to Portfolio Management with Python is designed for individuals with a foundational understanding of Python, probability theory and statistics.
Its primary goal is to introduce key financial concepts, with an emphasis on diversified investing.
Throughout this course, you will learn:
-
Fundamental financial concepts, such as investing, asset, portfolio, return and risk;
-
Ways for computing different kinds of risk and return using Python;
-
Trade-off between high return and low risk;
-
How to create portfolios with the smallest risk of financial loss and with the most justified risk by potential return;
-
Classification of external factors and their potential impact on our portfolio.
Takk for tilbakemeldingene dine!