loading
loading
loading
Embark on a journey through financial markets with 'Python for Investing: Finance Course,' expertly crafted by Ryan O'Connell, CFA, FRM. This course is designed to introduce you to the powerful world of Python in finance, starting from the basics for beginners and progressing to sophisticated investment strategies and analysis. Delve into practical applications like extracting free stock prices, optimizing portfolios, option pricing with the Black-Scholes model, and mastering various Value at Risk (VaR) methods using Python. Ideal for finance professionals, students, and anyone eager to leverage Python for data-driven investment decisions, this course offers a comprehensive toolkit to enhance your financial acumen in the digital age.