- Unstructured Data
- Network Analysis
- Asset Management
- Consumer Behaviour
- Financial Modeling
- Financial Statements
- Predictive Modeling
- Investments
- Financial Market
- Data Analysis
- Machine Learning Methods
- Python Programming
Python and Machine-Learning for Asset Management with Alternative Data Sets
Completed by SebastiƔn HuenchuƱir
July 29, 2020
20 hours (approximately)
SebastiƔn HuenchuƱir's account is verified. Coursera certifies their successful completion of Python and Machine-Learning for Asset Management with Alternative Data Sets
What you will learn
Learn what alternative data is and how it is used in financial market applications.Ā
Become immersed in current academic and practitioner state-of-the-art research pertaining to alternative data applications.
Perform data analysis of real-world alternative datasets using Python.
Gain an understanding and hands-on experience in data analytics, visualization and quantitative modeling applied to alternative data in finance
Skills you will gain

