- Financial Modeling
- Equities
- Investment Management
- Statistical Analysis
- Data Analysis
- Risk Modeling
- Portfolio Risk
- Python Programming
- Exploratory Data Analysis
- Market Data
- Financial Data
- Data Visualization
Python for Finance: Beta and Capital Asset Pricing Model
Completed by Nicolas Heck
October 15, 2022
1 hours (approximately)
Nicolas Heck's account is verified. Coursera certifies their successful completion of Python for Finance: Beta and Capital Asset Pricing Model
What you will learn
Understand the theory and intuition behind the Capital Asset Pricing Model (CAPM)
Calculate Beta and expected returns of securities in python
Perform interactive data visualization using Plotly Express
Skills you will gain

