Python for Finance
Python is a high-level multipurpose programming language that is popular among all levels of programmers/data practitioners working in the field of education, big tech, transportation, science, agriculture and last but not least- finance. The plethora of Python libraries, its intuitive syntax, and wide range of tools allow Python to provide data-driven solutions to financial institutions of all sizes. In these free pdf course notes, we will explore the power of Python for finance, covering tools and techniques used by financial professionals such as calculating and comparing rates of return in Python, measuring investment risk, performing regression analyses, using Monte Carlo simulations as decision-making tools and much more.
Who is it for
These free pdf course notes on Python for Finance are designed for aspiring data scientists, programmers who want to specialize in finance, finance graduates, aspiring portfolio managers and anyone who is interested to learn python for finance and investments.
How it can help you
Python is becoming the go to language for data-driven finance. If you want to learn what is Python used for in in finance and investments, gain a competitive advantage over other programmers/traders, learn the essential financial theory then these course notes will be of great value to you.