Python for Finance

Applying Python programming to financial analysis, modeling, risk assessment, and algorithmic trading.

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Why It Matters

AI and quantitative models now dominate trading and risk analysis; finance professionals who can write Python code can build, validate, and customize models rather than relying on opaque vendor tools.

How to Get Started

Take the "Python for Financial Analysis and Algorithmic Trading" course on Udemy, and practice with libraries like pandas, NumPy, and QuantLib on real market datasets.

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