Course Information

Duration:  6 Months
Level: Advanced
Lessons: Python & R, Predictive Modeling, Risk Management, Portfolio Analysis

Overview

 Designed to empower learners with the analytical and technical capabilities required in modern finance, this course blends statistical modeling with machine learning. Participants gain expertise in handling large financial datasets, identifying market trends, and making strategic investment decisions.

Curriculum

  • Programming Basics and Data Preparation
  • Visual Analytics and Statistical Analysis
  • Credit Risk Modeling and Forecasting
  • Time Series Analysis and Algo Trading
  • Portfolio Evaluation & Stock Price Prediction using ML

Eligibility

 Bachelor’s degree in any field (with math/statistics in 10+2) for Indian applicants; equivalent degree for international learners. Strong interest in finance is recommended.

Free

FREE

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