- Investment Management
- Probability Distribution
- Asset Management
- Portfolio Management
- Risk Management
- Python Programming
- NumPy
- Simulations
- Financial Modeling
- Matplotlib
- Pandas (Python Package)
- Risk Analysis
Introduction to Portfolio Construction and Analysis with Python
Completed by Kevin Wesch
May 16, 2021
25 hours (approximately)
Kevin Wesch's account is verified. Coursera certifies their successful completion of Introduction to Portfolio Construction and Analysis with Python
What you will learn
Gain an intuitive understanding for the underlying theory behind Modern Portfolio Construction Techniques
Write custom Python code to estimate risk and return parameters
Utilize powerful Python optimization libraries to build scientifically and systematically diversified portfolios
Build custom utilities in Python to test and compare portfolio strategies
Skills you will gain

