Quantitative Financial and Algorithmic Trading in Python

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Original price was: $109.99.Current price is: $18.99.

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SKU: B66F9B26 Category:
(10 customer reviews)
Product is rated as #2 in category Python

What you’ll learn

  • Understand stock market fundamentals
  • Understand bonds and bond pricing
  • Understand the Modern Portfolio Theory and Markowitz model
  • Understand the Capital Asset Pricing Model (CAPM)
  • Understand derivatives (futures and options)
  • Understand credit derivatives (credit default swaps)
  • Understand stochastic processes and the famous Black-Scholes model
  • Understand Monte-Carlo simulations
  • Understand Value-at-Risk (VaR)
  • Understand CDOs and the financial crisis
  • Understand interest rate models (Vasicek model)

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This course is about the fundamental basics of financial engineering. First of all you will learn about stocks, bonds and other derivatives. The main reason of this course is to get a better understanding of mathematical models concerning the finance in the main.

First of all we have to consider bonds and bond pricing. Markowitz-model is the second step. Then Capital Asset Pricing Model (CAPM). One of the most elegant scientific discoveries in the 20th century is the Black-Scholes model and how to eliminate risk with hedging.

IMPORTANT: only take this course, if you are interested in statistics and mathematics !!!

Section 1 – Introduction

  • installing Python

  • why to use Python programming language

  • the problem with financial models and historical data

Section 2 – Stock Market Basics

  • present value and future value of money

  • stocks and shares

  • commodities and the FOREX

  • what are short and long positions?

Section 3 – Bond Theory and Implementation

  • what are bonds

  • yields and yield to maturity

  • Macaulay duration

  • bond pricing theory and implementation

Section 4 – Modern Portfolio Theory (Markowitz Model)

  • what is diverzification in finance?

  • mean and variance

  • efficient frontier and the Sharpe ratio

  • capital allocation line (CAL)

Section 5 – Capital Asset Pricing Model (CAPM)

  • systematic and unsystematic risks

  • beta and alpha parameters

  • linear regression and market risk

  • why market risk is the only relevant risk?

Section 6 – Derivatives Basics

  • derivatives basics

  • options (put and call options)

  • forward and future contracts

  • credit default swaps (CDS)

  • interest rate swaps

Section 7 – Random Behavior in Finance

  • random behavior

  • Wiener processes

  • stochastic calculus and Ito’s lemma

  • brownian motion theory and implementation

Section 8 – Black-Scholes Model

  • Black-Scholes model theory and implementation

  • Monte-Carlo simulations for option pricing

  • the greeks

Section 9 – Value-at-Risk (VaR)

  • what is value at risk (VaR)

  • Monte-Carlo simulation to calculate risks

Section 10 – Collateralized Debt Obligation (CDO)

  • what are CDOs?

  • the financial crisis in 2008

Section 11 – Interest Rate Models

  • mean reverting stochastic processes

  • the Ornstein-Uhlenbeck process

  • the Vasicek model

  • using Monte-Carlo simulation to price bonds

Section 12 – Value Investing

  • long term investing

  • efficient market hypothesis

APPENDIX – PYTHON CRASH COURSE

  • basics – variables, strings, loops and logical operators

  • functions

  • data structures in Python (lists, arrays, tuples and dictionaries)

  • object oriented programming (OOP)

  • NumPy

Thanks for joining my course, let’s get started!

Who this course is for:

  • Anyone who wants to learn the basics of financial engineering!

10 reviews for Quantitative Financial and Algorithmic Trading in Python

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  1. Antonio de Jesus Campos Rodriguez

    Very useful to learn the basics. I found the Python section too long and math too little in my opinion. Almost no machine learning although the instructor explains the reason, but overall very useful as introduction to quantitative finance.

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  2. Alexey Munishkin

    I liked the math perspective and cover of python examples. Didn’t find any other sources that covered the math perspective as well as this.

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  3. MICHAEL TYISKA

    Excellent course and very very smart teacher!

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  4. fernando bender

    author does not reply questions. that is very relevant to make sure one is understanding. under a promotional price this course is a good deal.

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  5. Dimitar Grozev

    It delivers on the description. The lectures assume you have a grasp on statistics and linear algebra and know at least bit of programming. If you are familiar with these subjects then the course is easy to follow, interesting and fun.

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  6. Mallik Ankati

    It is really good course. i am enjoying thoroughly

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  7. José A. Benitez Pelaez

    The course is very good especially for someone who comes from a basic level. The explanations are very good and in clear English, which for a Spanish student is a challenge. Thanks for all. I will take the second course.

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  8. John Kopsky

    This course is rich with detail. Very thoughtfully put together. A wonderful journey through modern investment theory with accurate implementation in Python.

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  9. Ajit Pal Singh

    A very informative and practical course

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  10. Alejandro Noguez Ibarra

    It was a nice course, I recommend taking first a python OOP course before tho

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    Quantitative Financial and Algorithmic Trading in Python
    Quantitative Financial and Algorithmic Trading in Python

    Original price was: $109.99.Current price is: $18.99.

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