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基于Python的高级投资组合构建与分析 | MOOC中国 - 慕课改变你,你改变世界

基于Python的高级投资组合构建与分析

Advanced Portfolio Construction and Analysis with Python

914 次查看
北方高等商学院
Coursera
  • 完成时间大约为 21 个小时
  • 中级
  • 英语
注:本课程由Coursera和Linkshare共同提供,因开课平台的各种因素变化,以上开课日期仅供参考

你将学到什么

Analyze style and factor exposures of portfolios

Implement robust estimates for the covariance matrix

Implement Black-Litterman portfolio construction analysis

Implement a variety of robust portfolio construction models

课程概况

The practice of investment management has been transformed in recent years by computational methods. Instead of merely explaining the science, we help you build on that foundation in a practical manner, with an emphasis on the hands-on implementation of those ideas in the Python programming language. In this course, we cover the estimation, of risk and return parameters for meaningful portfolio decisions, and also introduce a variety of state-of-the-art portfolio construction techniques that have proven popular in investment management and portfolio construction due to their enhanced robustness.

As we cover the theory and math in lecture videos, we’ll also implement the concepts in Python, and you’ll be able to code along with us so that you have a deep and practical understanding of how those methods work. By the time you are done, not only will you have a foundational understanding of modern computational methods in investment management, you’ll have practical mastery in the implementation of those methods. If you follow along and implement all the lab exercises, you will complete the course with a powerful toolkit that you will be able to use to perform your own analysis and build your own implementations and perhaps even use your newly acquired knowledge to improve on current methods.

课程大纲

Style & Factors

Robust estimates for the covariance matrix

Robust estimates for expected returns

Portfolio Optimization in Practice

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