lovewarez Posted May 20, 2022 Report Share Posted May 20, 2022 [img]https://i117.fastpic.org/big/2022/0520/f7/ae29ad3f573b871d76a811c8d20711f7.jpg[/img] [b]Basic Finance with Python[/b] Genre: eLearning | MP4 | Video: h264, 1280x720 | Audio: AAC, 48.0 KHz Language: English | Size: 1.03 GB | Duration: 56 lectures • 2h 23m Learn the basics of finance with python through a learning by doing model What you'll learn Practice the fundamentals of basic finance through real examples Learn how to use python to further enrich finance models Analyze the mathematical equations underpinning basic finance and how python allows for quick computations of the equations Create graphics to visualize the impacts of different parameters on financial models Requirements Basic Python Programming Description Have you ever wondered what the different financial metrics and models mean? This course will give you an introduction to the very exciting world of finance through the lens of programming in python. You can expect to both increase your python skills while also building your financial acumen. Some of the course deals with how cash flows compound and how they are discounted for present value. Other lectures focus on the models that are used for evaluating fixed income investments and equity investments. All lectures are done through jupyter notebooks with python code to replicate different equations, visualize the evolution of financial models and explain with examples how the different pieces of financial theory fit together. The structure of the course is Compound Interest: Lectures on how compound interest works Present Value: Lectures on how to compute the present value of different streams of cash flows Annuities: Lectures on how to value annuity type payment streams Perpetuities: Lectures on what a perpetuity and how one might value infinite streams of cash flows Bonds: Lectures on how to value bond cash flows Dividend Discount Model: Lectures on the dividend discount model which is used in valuing stocks Risk: Lectures on how risk is measured and how diversification can reduce risk Capital Asset Pricing Model: Lectures on the very famous Capital Asset Pricing Model and how it is used for finding the expected returns of stocks. Who this course is for Beginner python programmers hoping to learn basic finance through coding in python [code]https://www.udemy.com/course/basic-finance-with-python/[/code] [code] https://nitro.download/view/5B356A10B498E02/Basic_Finance_with_Python.part1.rar https://nitro.download/view/ED15DBD932AE028/Basic_Finance_with_Python.part2.rar https://rapidgator.net/file/e38fc4f8cab59cd6da67567fd876b0cd/Basic_Finance_with_Python.part1.rar.html https://rapidgator.net/file/06ddb8022b6163ec0f0a5dde810105be/Basic_Finance_with_Python.part2.rar.html https://uploadgig.com/file/download/4736e37bA3304985/Basic_Finance_with_Python.part1.rar https://uploadgig.com/file/download/ed2ea0aE150b78E6/Basic_Finance_with_Python.part2.rar [/code] Link to comment Share on other sites More sharing options...
Recommended Posts
Create an account or sign in to comment
You need to be a member in order to leave a comment
Create an account
Sign up for a new account in our community. It's easy!
Register a new accountSign in
Already have an account? Sign in here.
Sign In Now