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[FreeAllCourse.Com] Udemy - Python for Finance Investment Fundamentals & Data Analytics

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[FreeAllCourse.Com] Udemy - Python for Finance Investment Fundamentals & Data Analytics

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文件列表

  • 10. Advanced Python tools/17. Importing and Organizing Data in Python – part II.A.mp4 69.8 MB
  • 3. Python Variables and Data Types/5. Strings.mp4 60.4 MB
  • 2. Introduction to programming with Python/7. Installing Python and Jupyter.mp4 56.4 MB
  • 6. Conditional Statements/4. Else if, for Brief – ELIF.mp4 55.8 MB
  • 8. Python Sequences/7. Dictionaries.mp4 43.8 MB
  • 10. Advanced Python tools/14. Sources of Financial Data.mp4 40.6 MB
  • 7. Python Functions/2. Creating a Function with a Parameter.mp4 40.0 MB
  • 8. Python Sequences/1. Lists.mp4 39.6 MB
  • 8. Python Sequences/3. Using Methods.mp4 39.4 MB
  • 10. Advanced Python tools/18. Importing and Organizing Data in Python – part II.B.mp4 38.6 MB
  • 9. Using Iterations in Python/8. Iterating over Dictionaries.mp4 31.1 MB
  • 8. Python Sequences/6. Tuples.mp4 30.9 MB
  • 9. Using Iterations in Python/3. While Loops and Incrementing.mp4 29.9 MB
  • 9. Using Iterations in Python/6. Use Conditional Statements and Loops Together.mp4 29.1 MB
  • 3. Python Variables and Data Types/1. Variables.mp4 27.9 MB
  • 9. Using Iterations in Python/4. Create Lists with the range() Function.mp4 27.0 MB
  • 7. Python Functions/3. Another Way to Define a Function.mp4 26.5 MB
  • 10. Advanced Python tools/16. Importing and Organizing Data in Python – part I.mp4 25.2 MB
  • 9. Using Iterations in Python/1. For Loops.mp4 24.7 MB
  • 6. Conditional Statements/3. Add an ELSE statement.mp4 24.4 MB
  • 6. Conditional Statements/1. Introduction to the IF statement.mp4 24.3 MB
  • 6. Conditional Statements/5. A Note on Boolean values.mp4 20.9 MB
  • 10. Advanced Python tools/13. A Note on Using Financial Data in Python.mp4 19.7 MB
  • 2. Introduction to programming with Python/3. Why Python.mp4 16.4 MB
  • 16. Part II Finance Multivariate regression analysis/3. Running a multivariate regression in Python.mp4 16.1 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/11. Calculating a Portfolio of Securities' Rate of Return.mp4 15.9 MB
  • 2. Introduction to programming with Python/1. Programming Explained in 5 Minutes.mp4 15.6 MB
  • 7. Python Functions/1. Defining a Function in Python.mp4 15.5 MB
  • 7. Python Functions/7. Creating Functions Containing a Few Arguments.mp4 15.4 MB
  • 2. Introduction to programming with Python/11. Python 2 vs Python 3 What's the Difference.mp4 14.3 MB
  • 4. Basic Python Syntax/12. Structure Your Code with Indentation.mp4 13.7 MB
  • 1. Welcome! Course Introduction/1. What Does the Course Cover.mp4 13.7 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/5. Monte Carlo Predicting Gross Profit – Part I.mp4 13.7 MB
  • 2. Introduction to programming with Python/9. Jupyter’s Interface – Prerequisites for Coding.mp4 12.9 MB
  • 14. PART II Finance - Markowitz Portfolio Optimization/4. Obtaining the Efficient Frontier in Python – Part II.mp4 12.2 MB
  • 4. Basic Python Syntax/7. Add Comments.mp4 11.7 MB
  • 14. PART II Finance - Markowitz Portfolio Optimization/1. Markowitz Portfolio Theory - One of the main pillars of modern Finance.mp4 11.4 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/17. Monte Carlo Euler Discretization - Part I.mp4 11.4 MB
  • 12. PART II Finance Measuring Investment Risk/3. Calculating a Security’s Risk in Python.mp4 11.3 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/6. Calculating a Security’s Rate of Return in Python – Simple Returns – Part I.mp4 11.1 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/15. Monte Carlo Black-Scholes-Merton.mp4 10.7 MB
  • 10. Advanced Python tools/20. Changing the Index of Your Time-Series Data.mp4 10.7 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/6. Monte Carlo Predicting Gross Profit – Part II.srt 10.6 MB
  • 13. PART II Finance - Using Regressions for Financial Analysis/6. Computing Alpha, Beta, and R Squared in Python.mp4 10.5 MB
  • 13. PART II Finance - Using Regressions for Financial Analysis/3. Running a Regression in Python.mp4 10.5 MB
  • 10. Advanced Python tools/15. Accessing the Notebook Files.mp4 10.4 MB
  • 2. Introduction to programming with Python/5. Why Jupyter.mp4 10.3 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/12. An Introduction to Derivative Contracts.mp4 9.8 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/14. Calculating the Indices' Rate of Return.mp4 9.8 MB
  • 12. PART II Finance Measuring Investment Risk/1. How do we measure a security's risk.mp4 9.8 MB
  • 16. Part II Finance Multivariate regression analysis/1. Multivariate regression analysis - a valuable tool for finance practitioners.mp4 9.7 MB
  • 14. PART II Finance - Markowitz Portfolio Optimization/3. Obtaining the Efficient Frontier in Python – Part I.mp4 9.2 MB
  • 10. Advanced Python tools/21. Restarting the Jupyter Kernel.mp4 9.1 MB
  • 10. Advanced Python tools/9. Must-have packages for Finance and Data Science.mp4 9.1 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/4. Calculating a security's rate of return.mp4 8.8 MB
  • 12. PART II Finance Measuring Investment Risk/10. Calculating Covariance and Correlation.mp4 8.8 MB
  • 1. Welcome! Course Introduction/2. Download Useful Resources - Exercises and Solutions.mp4 8.6 MB
  • 10. Advanced Python tools/19. Importing and Organizing Data in Python – part III.mp4 8.4 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/10. Monte Carlo Forecasting Stock Prices - Part II.mp4 8.4 MB
  • 10. Advanced Python tools/11. Working with arrays.mp4 8.3 MB
  • 5. Python Operators Continued/3. Logical and Identity Operators.mp4 8.3 MB
  • 12. PART II Finance Measuring Investment Risk/11. Considering the risk of multiple securities in a portfolio.mp4 8.1 MB
  • 13. PART II Finance - Using Regressions for Financial Analysis/4. Are all regressions created equal Learning how to distinguish good regressions.mp4 8.0 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/1. The intuition behind the Capital Asset Pricing Model (CAPM).mp4 7.9 MB
  • 8. Python Sequences/5. List Slicing.mp4 7.7 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/11. Monte Carlo Forecasting Stock Prices - Part III.mp4 7.4 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/14. The Black Scholes Formula for Option Pricing.mp4 7.4 MB
  • 12. PART II Finance Measuring Investment Risk/15. Calculating Diversifiable and Non-Diversifiable Risk of a Portfolio.mp4 7.4 MB
  • 10. Advanced Python tools/1. Object Oriented Programming.mp4 7.2 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/12. Measuring alpha and verifying how good (or bad) a portfolio manager is doing.mp4 6.8 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/7. Forecasting Stock Prices with a Monte Carlo Simulation.mp4 6.7 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/8. Calculating a Security’s Return in Python – Logarithmic Returns.mp4 6.7 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/3. Understanding and calculating a security's Beta.mp4 6.6 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/5. Calculating the Beta of a Stock.mp4 6.6 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/1. Considering both risk and return.mp4 6.5 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/6. The CAPM formula.mp4 6.4 MB
  • 10. Advanced Python tools/7. Importing Modules.mp4 6.2 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/9. Monte Carlo Forecasting Stock Prices - Part I.mp4 6.2 MB
  • 12. PART II Finance Measuring Investment Risk/6. Calculating the covariance between securities.mp4 6.2 MB
  • 7. Python Functions/8. Notable Built-in Functions in Python.mp4 6.1 MB
  • 12. PART II Finance Measuring Investment Risk/4. The benefits of portfolio diversification.mp4 6.0 MB
  • 12. PART II Finance Measuring Investment Risk/8. Measuring the correlation between stocks.mp4 6.0 MB
  • 13. PART II Finance - Using Regressions for Financial Analysis/1. The fundamentals of simple regression analysis.mp4 5.9 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/12. Popular stock indices that can help us understand financial markets.mp4 5.8 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/7. Calculating a Security’s Rate of Return in Python – Simple Returns – Part II.mp4 5.7 MB
  • 4. Basic Python Syntax/1. Arithmetic Operators.mp4 5.3 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/6. Monte Carlo Predicting Gross Profit – Part II.mp4 5.1 MB
  • 12. PART II Finance Measuring Investment Risk/13. Understanding Systematic vs. Idiosyncratic risk.mp4 5.1 MB
  • 3. Python Variables and Data Types/3. Numbers and Boolean Values.mp4 4.7 MB
  • 12. PART II Finance Measuring Investment Risk/12. Calculating Portfolio Risk.mp4 4.6 MB
  • 7. Python Functions/6. Combining Conditional Statements and Functions.mp4 4.6 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/9. What is a portfolio of securities and how to calculate its rate of return.mp4 4.5 MB
  • 2. Introduction to programming with Python/8. Jupyter’s Interface – the Dashboard.mp4 4.5 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/3. Monte Carlo applied in a Corporate Finance context.mp4 4.3 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/1. The essence of Monte Carlo simulations.mp4 4.3 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/3. What are we going to see next.mp4 4.3 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/8. Calculating the Expected Return of a Stock (CAPM).mp4 4.2 MB
  • 10. Advanced Python tools/5. The Standard Library.mp4 4.2 MB
  • 10. Advanced Python tools/12. Generating Random Numbers.mp4 4.0 MB
  • 14. PART II Finance - Markowitz Portfolio Optimization/5. Obtaining the Efficient Frontier in Python – Part III.mp4 3.9 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/9. Introducing the Sharpe ratio and how to put it into practice.mp4 3.8 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/18. Monte Carlo Euler Discretization - Part II.mp4 3.7 MB
  • 5. Python Operators Continued/1. Comparison Operators.mp4 3.0 MB
  • 9. Using Iterations in Python/7. All In – Conditional Statements, Functions, and Loops.mp4 3.0 MB
  • 7. Python Functions/5. Using a Function in another Function.mp4 2.4 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/11. Obtaining the Sharpe ratio in Python.mp4 2.2 MB
  • 2. Introduction to programming with Python/1.1 Python for Finance - Course Notes - Part I.pdf.pdf 2.1 MB
  • 2. Introduction to programming with Python/11.1 Python for Finance - Course Notes - Part I.pdf.pdf 2.1 MB
  • 4. Basic Python Syntax/3. The Double Equality Sign.mp4 2.0 MB
  • 4. Basic Python Syntax/10. Indexing Elements.mp4 1.9 MB
  • 10. Advanced Python tools/3. Modules and Packages.mp4 1.7 MB
  • 4. Basic Python Syntax/5. Reassign Values.mp4 1.5 MB
  • 14. PART II Finance - Markowitz Portfolio Optimization/1.1 Python for Finance Course Notes - Part II.pdf.pdf 1.4 MB
  • 12. PART II Finance Measuring Investment Risk/1.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 12. PART II Finance Measuring Investment Risk/6.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/3.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/1.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/12.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/3.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/4.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/9.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 12. PART II Finance Measuring Investment Risk/11.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 12. PART II Finance Measuring Investment Risk/13.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 12. PART II Finance Measuring Investment Risk/4.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 12. PART II Finance Measuring Investment Risk/8.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 13. PART II Finance - Using Regressions for Financial Analysis/1.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 13. PART II Finance - Using Regressions for Financial Analysis/4.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/1.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/12.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/3.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/6.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 15. Part II Finance - The Capital Asset Pricing Model/9.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 16. Part II Finance Multivariate regression analysis/1.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/1.2 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/12.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/14.1 Python for Finance Course Notes - Part II.pdf.pdf 1.1 MB
  • 1. Welcome! Course Introduction/2.1 Python for Finance - FAQ.pdf.pdf 1.0 MB
  • 4. Basic Python Syntax/9. Line Continuation.mp4 1.0 MB
  • 2. Introduction to programming with Python/9.1 Jupyter_Shortcuts.pdf.pdf 603.7 kB
  • 10. Advanced Python tools/9.2 47 Packages Exercise.pdf.pdf 262.3 kB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/14.2 Indices_Data_1.csv.csv 238.5 kB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/14.1 Indices_Data_2.csv.csv 114.9 kB
  • 14. PART II Finance - Markowitz Portfolio Optimization/3.1 Markowitz_Data.csv.csv 60.0 kB
  • 14. PART II Finance - Markowitz Portfolio Optimization/4.1 Markowitz_Data.csv.csv 60.0 kB
  • 14. PART II Finance - Markowitz Portfolio Optimization/5.2 Markowitz_Data.csv.csv 60.0 kB
  • 15. Part II Finance - The Capital Asset Pricing Model/11.1 CAPM_Data.csv.csv 41.7 kB
  • 15. Part II Finance - The Capital Asset Pricing Model/5.2 CAPM_Data.csv.csv 41.7 kB
  • 15. Part II Finance - The Capital Asset Pricing Model/8.1 CAPM_Data.csv.csv 41.7 kB
  • 3. Python Variables and Data Types/5. Strings.srt 16.2 kB
  • 14. PART II Finance - Markowitz Portfolio Optimization/1.2 14. Markowitz Efficient frontier.xlsx.xlsx 15.9 kB
  • 13. PART II Finance - Using Regressions for Financial Analysis/1.2 Housing Data.xlsx.xlsx 14.8 kB
  • 6. Conditional Statements/4. Else if, for Brief – ELIF.srt 13.5 kB
  • 13. PART II Finance - Using Regressions for Financial Analysis/3.2 Housing.xlsx.xlsx 10.3 kB
  • 13. PART II Finance - Using Regressions for Financial Analysis/6.1 Housing.xlsx.xlsx 10.3 kB
  • 16. Part II Finance Multivariate regression analysis/3.1 Housing.xlsx.xlsx 10.3 kB
  • 8. Python Sequences/1. Lists.srt 10.1 kB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/11. Calculating a Portfolio of Securities' Rate of Return.srt 9.9 kB
  • 2. Introduction to programming with Python/7. Installing Python and Jupyter.srt 9.6 kB
  • 7. Python Functions/2. Creating a Function with a Parameter.srt 9.2 kB
  • 8. Python Sequences/7. Dictionaries.srt 8.6 kB
  • 8. Python Sequences/3. Using Methods.srt 8.6 kB
  • 10. Advanced Python tools/14. Sources of Financial Data.srt 8.5 kB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/12. An Introduction to Derivative Contracts.srt 8.3 kB
  • 10. Advanced Python tools/17. Importing and Organizing Data in Python – part II.A.srt 8.2 kB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/17. Monte Carlo Euler Discretization - Part I.srt 8.2 kB
  • 9. Using Iterations in Python/8. Iterating over Dictionaries.srt 8.1 kB
  • 2. Introduction to programming with Python/9. Jupyter’s Interface – Prerequisites for Coding.srt 7.9 kB
  • 16. Part II Finance Multivariate regression analysis/3. Running a multivariate regression in Python.srt 7.9 kB
  • 9. Using Iterations in Python/4. Create Lists with the range() Function.srt 7.8 kB
  • 14. PART II Finance - Markowitz Portfolio Optimization/1. Markowitz Portfolio Theory - One of the main pillars of modern Finance.srt 7.8 kB
  • 6. Conditional Statements/1. Introduction to the IF statement.srt 7.8 kB
  • 13. PART II Finance - Using Regressions for Financial Analysis/3. Running a Regression in Python.srt 7.8 kB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/15. Monte Carlo Black-Scholes-Merton.srt 7.7 kB
  • 9. Using Iterations in Python/6. Use Conditional Statements and Loops Together.srt 7.6 kB
  • 12. PART II Finance Measuring Investment Risk/1. How do we measure a security's risk.srt 7.6 kB
  • 1. Welcome! Course Introduction/1. What Does the Course Cover.srt 7.4 kB
  • 12. PART II Finance Measuring Investment Risk/3. Calculating a Security’s Risk in Python.srt 7.2 kB
  • 2. Introduction to programming with Python/3. Why Python.srt 7.1 kB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/5. Monte Carlo Predicting Gross Profit – Part I.srt 7.1 kB
  • 10. Advanced Python tools/11. Working with arrays.srt 7.1 kB
  • 8. Python Sequences/6. Tuples.srt 7.1 kB
  • 2. Introduction to programming with Python/1. Programming Explained in 5 Minutes.srt 7.1 kB
  • 16. Part II Finance Multivariate regression analysis/1. Multivariate regression analysis - a valuable tool for finance practitioners.srt 7.0 kB
  • 13. PART II Finance - Using Regressions for Financial Analysis/6. Computing Alpha, Beta, and R Squared in Python.srt 6.9 kB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/4. Calculating a security's rate of return.srt 6.9 kB
  • 9. Using Iterations in Python/1. For Loops.srt 6.7 kB
  • 7. Python Functions/3. Another Way to Define a Function.srt 6.6 kB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/6. Calculating a Security’s Rate of Return in Python – Simple Returns – Part I.srt 6.5 kB
  • 6. Conditional Statements/3. Add an ELSE statement.srt 6.4 kB
  • 6. Conditional Statements/5. A Note on Boolean values.srt 6.4 kB
  • 3. Python Variables and Data Types/1. Variables.srt 6.3 kB
  • 15. Part II Finance - The Capital Asset Pricing Model/1. The intuition behind the Capital Asset Pricing Model (CAPM).srt 6.3 kB
  • 10. Advanced Python tools/1. Object Oriented Programming.srt 6.2 kB
  • 13. PART II Finance - Using Regressions for Financial Analysis/4. Are all regressions created equal Learning how to distinguish good regressions.srt 6.2 kB
  • 14. PART II Finance - Markowitz Portfolio Optimization/3. Obtaining the Efficient Frontier in Python – Part I.srt 6.2 kB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/14. Calculating the Indices' Rate of Return.srt 6.2 kB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/14. The Black Scholes Formula for Option Pricing.srt 6.1 kB
  • 14. PART II Finance - Markowitz Portfolio Optimization/4. Obtaining the Efficient Frontier in Python – Part II.srt 6.1 kB
  • 9. Using Iterations in Python/3. While Loops and Incrementing.srt 6.0 kB
  • 12. PART II Finance Measuring Investment Risk/10. Calculating Covariance and Correlation.srt 5.9 kB
  • 10. Advanced Python tools/9. Must-have packages for Finance and Data Science.srt 5.9 kB
  • 5. Python Operators Continued/3. Logical and Identity Operators.srt 5.8 kB
  • 8. Python Sequences/5. List Slicing.srt 5.6 kB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/10. Monte Carlo Forecasting Stock Prices - Part II.srt 5.6 kB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/7. Forecasting Stock Prices with a Monte Carlo Simulation.srt 5.6 kB
  • 15. Part II Finance - The Capital Asset Pricing Model/6. The CAPM formula.srt 5.6 kB
  • 7. Python Functions/1. Defining a Function in Python.srt 5.4 kB
  • 15. Part II Finance - The Capital Asset Pricing Model/12. Measuring alpha and verifying how good (or bad) a portfolio manager is doing.srt 5.4 kB
  • 15. Part II Finance - The Capital Asset Pricing Model/3. Understanding and calculating a security's Beta.srt 5.4 kB
  • 17. PART II Finance - Monte Carlo simulations as a decision-making tool/11. Monte Carlo Forecasting Stock Prices - Part III.srt 5.3 kB
  • 10. Advanced Python tools/7. Importing Modules.srt 5.2 kB
  • 10. Advanced Python tools/18. Importing and Organizing Data in Python – part II.B.srt 5.2 kB
  • 12. PART II Finance Measuring Investment Risk/15. Calculating Diversifiable and Non-Diversifiable Risk of a Portfolio.srt 5.0 kB
  • 12. PART II Finance Measuring Investment Risk/8. Measuring the correlation between stocks.srt 4.9 kB
  • 4. Basic Python Syntax/12. Structure Your Code with Indentation.srt 4.8 kB
  • 13. PART II Finance - Using Regressions for Financial Analysis/1. The fundamentals of simple regression analysis.srt 4.8 kB
  • 12. PART II Finance Measuring Investment Risk/4. The benefits of portfolio diversification.srt 4.8 kB
  • 2. Introduction to programming with Python/5. Why Jupyter.srt 4.7 kB
  • 10. Advanced Python tools/19. Importing and Organizing Data in Python – part III.srt 4.6 kB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/8. Calculating a Security’s Return in Python – Logarithmic Returns.srt 4.5 kB
  • 12. PART II Finance Measuring Investment Risk/6. Calculating the covariance between securities.srt 4.4 kB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/12. Popular stock indices that can help us understand financial markets.srt 4.4 kB
  • 11. PART II FINANCE Calculating and Comparing Rates of Return in Python/7. Calculating a Security’s Rate of Return in Python – Simple Returns – Part II.srt 4.4 kB
  • 15. Part II Finance - The Capital Asset Pricing Model/5. Calculating the Beta of a Stock.srt 4.4 kB
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