Master quantitative financial models, risk assessment, and predictive analytics using modern data libraries to make data-driven investment decisions.
💬مدرب ذكاء اصطناعي اسأل عن أي درس واحصل على إجابة واضحة فورًا، في أي وقت.
🕐ابدأ في أي وقت بلا جداول أو مواعيد نهائية — تعلّم بوتيرتك، وقتما يناسبك.
🌐بالعربية الدروس والمهام والشهادة — كل ذلك بلغتك بالكامل.
حول هذه الدورة
Modern finance moves at the speed of data, making traditional spreadsheets insufficient for complex risk modeling and market prediction. To excel in quantitative finance, you must learn to analyze vast datasets, build predictive models, and manage portfolio risk using programmatic tools. This course takes you from foundational financial concepts to advanced analytical techniques, helping you build a robust toolkit for quantitative analysis.
You will transition from basic financial theories to implementing sophisticated data-driven models. By reading detailed explanations, analyzing structured code snippets, and completing written exercises, you will gain the skills to model asset returns, evaluate portfolio risk, and apply modern machine learning concepts to financial markets.
What you'll learn:
- Understand the foundational mathematics of financial markets and asset pricing theories
- Implement quantitative portfolio optimization models using modern Python libraries
- Analyze and clean financial time-series data for predictive modeling
- Measure market risk using Value at Risk (VaR) and Expected Shortfall methodologies
- Apply basic machine learning regression and classification models to financial data
- Evaluate investment strategies using modern backtesting performance metrics
This course begins with a thorough introduction to financial analytics terminology, key statistical concepts, and core data structures. Next, you will explore time-series analysis, portfolio optimization, risk modeling, and advanced predictive frameworks. The material is structured to build your confidence step-by-step, ensuring you understand the theory before diving into programmatic implementation.
This course is designed for finance professionals, business analysts, and aspiring quantitative analysts who want to build a strong foundation in modern financial analytics. No prior programming experience or advanced financial background is required, as all concepts are introduced from first principles.
Start reading today to elevate your financial analysis skills and master the quantitative tools used by industry professionals.
ما الذي ستحصل عليه
📜شهادة إتمام أضفها إلى ملفك على LinkedIn
💬مدرّس AI شخصي عالق في دورة؟ اسأل مدرّسك المدمج أي شيء، في أي وقت.
♾️وصول مدى الحياة عُد متى شئت، بلا انتهاء
📱الهاتف أو الكمبيوتر يعمل في أي مكان وعلى أي جهاز
💸استرداد خلال 14 يومًا دون أسئلة
⚡قصير ومركَّز 2 ساعة 48 دقيقة من المحتوى التطبيقي
شهادة إتمام
كل دورة تكملها على PickAClass تُصدر شهادة كهذه — أصلية، بكودها الخاص، قابلة للتحقّق عبر الرابط، ومفصّلة عمّا أُثبت فعلًا.