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Introduction to Python in Finance


MUIC
 About Course
    This course is designed for individuals who aim to combine the powerful programming capabilities of Python with financial and investment analysis. This course is suitable for beginners with no previous experience in Python or finance.
 Objectives
  • 1. Understand the basics of Python programming, including popular libraries such as Pandas, NumPy, and Matplotlib.
  • 2. Understand basic theories of finance and investment.
  • 3. Understand the process of managing data for analysis.
  • 4. Use Python to analyze and solve basic financial and investment problems.
 Target Group
  • No prior knowledge of Python or finance is required, however a basic understanding of mathematics and statistics will be helpful.
  • Undergraduate students
  • Graduate students
  • The public
 Period
  • Total online learning hours 12 hrs.
  • Self-paced
  • Every academic year
 Evaluation
  • The results are measured and assessed through the post-test of 100 points. Students must achieve a total score of 70% or more to be able to obtain the Certificate.
 Instructor

Course Staff Image #1


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