
CourseraDelivered by EDHEC Business School, this beginner specialization sits at the intersection of finance and code — applying Python and machine learning techniques directly to portfolio management and asset allocation, rather than teaching them as separate subjects.
Finance professionals who want to add quantitative, code-based tools to their skillset, or programmers who want to apply Python to real investment problems.
With more than 54,000 learners, it's a popular, beginner-accessible bridge between traditional investment management and the data-science techniques now standard in asset management.
Skills you'll gain: Portfolio Management, Risk Management, Risk Analysis, Investments, Correlation Analysis, Return On Investment, Portfolio Risk, Investment Management, Financial Modeling, Process Optimization, Risk Modeling, Python Programming, Simulations, Financial Management, Financial Analysis.
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