This course introduces an overview of financial analytics. You will learn why, when, and how to apply financial analytics in real-world situations. You will explore techniques to analyze time series data and how to evaluate the risk-reward trade off expounded in modern portfolio theory. While most of the focus will be on the prices, returns, and risk of corporate stocks, the analytical techniques can be leverages in other domains. Finally, a short introduction to algorithmic trading concludes the course.
Applying Data Analytics in FinanceUniversity of Illinois at Urbana-Champaign
About this Course
University of Illinois at Urbana-Champaign
The University of Illinois at Urbana-Champaign is a world leader in research, teaching and public engagement, distinguished by the breadth of its programs, broad academic excellence, and internationally renowned faculty and alumni. Illinois serves the world by creating knowledge, preparing students for lives of impact, and finding solutions to critical societal needs.
- 5 stars66.32%
- 4 stars24.35%
- 3 stars3.10%
- 2 stars3.10%
- 1 star3.10%
TOP REVIEWS FROM APPLYING DATA ANALYTICS IN FINANCE
The course was upto the mark and helped me to learn data analytics Application in finance.
Covers basics of time series modeling techniques and applications in R. Doesn't go deep into statistics behind models
The study has detailed information of analytics in finance
i really like this course and learned a lot thankyou.
Frequently Asked Questions
When will I have access to the lectures and assignments?
What will I get if I purchase the Certificate?
Is financial aid available?
More questions? Visit the Learner Help Center.