Build fully automated trading system and Implement quantitative trading strategies using Python
Stock Market, Bonds, Markowitz-Portfolio Theory, CAPM, Black-Scholes Model, Value at Risk and Monte-Carlo Simulations
Learn to Analyze Financial Markets using Python, Data Science, Machine Learning and Technical Analysis.
- - Early Access - -
Technical Analysis (SMA and RSI), Time Series Analysis (ARIMA and GARCH), Machine Learning and Mean-Reversion Strategies
Quantitative analysis & portfolio analysis : fundamental analysis