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★ 4.5(2)⏱ 3h📚 30 lessons
Financial Engineering and AI with Python: Portfolio and Trading Systems
Learn to analyze financial markets, build optimized portfolios, and design intelligent algorithmic trading systems using modern Python programming and machine learning.
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🕐Start anytime No schedules or deadlines — learn at your own pace, whenever suits you.
🌐In English Lessons, tasks and certificate — all fully in your language.
About this course
Bridging the gap between traditional finance and modern artificial intelligence is one of the most valuable skills in today's data-driven economy. This text-based course guides you through the foundational concepts of financial engineering and demonstrates how to supercharge them using Python and machine learning.
You will transition from understanding basic financial metrics to building robust, automated trading strategies and portfolio optimization models. By working through clear explanations and structured code walkthroughs, you will gain a deep, practical understanding of how mathematical models apply to real-world market data.
What you'll learn:
- Understand core financial concepts, including asset returns, risk metrics, and the Capital Asset Pricing Model (CAPM).
- Analyze time series data using statistical models like ARIMA and smooth trends with moving averages.
- Optimize investment portfolios using mathematical programming to maximize the Sharpe ratio on the efficient frontier.
- Build algorithmic trading strategies based on trend-following indicators and reinforcement learning principles.
- Apply modern Python data tools and clean coding practices, including type hints and efficient dataframe operations, to financial datasets.
- Detect market regimes and model volatility clustering using unsupervised machine learning techniques.
The curriculum starts with foundational financial theory and basic data analysis before advancing to statistical modeling, portfolio mathematics, and intelligent trading algorithms. You will progress step-by-step through written explanations and code examples designed to build your confidence.
This course is designed for aspiring quantitative analysts, finance professionals, and programmers who are new to financial engineering. No prior background in finance or advanced machine learning is required, though basic Python familiarity is helpful.
Start reading today to master the intersection of finance and artificial intelligence.
What you'll get
📜Certificate of completion Add it to your LinkedIn profile
💬Personal AI tutor Stuck on a lesson? Ask your built-in tutor anything, any time.
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📱Phone or computer Works anywhere, any device
💸14-day refund No questions asked
⚡Short & focused 3h of practical content
Certificate of completion
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Financial Engineering and AI with Python: Portfolio and Trading Systems