10最好的计量金融课程教程推荐

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特写 iPhone,显示 Udemy 应用程序和带笔记本的笔记本电脑有数以千计的在线课程和课程可以帮助您提高 计量金融课程 技能并获得 计量金融课程 证书。

在这篇博客文章中,我们的专家汇总了 10 个精选列表 最好的 计量金融课程 课程, 现在在线提供的教程、培训计划、课程和认证。

我们只包括那些符合我们高质量标准的课程。我们花了很多时间和精力来为您收集这些。这些课程适合所有级别的初学者、中级学习者和专家。

以下是这些课程以及它们为您提供的内容!

10最好的计量金融课程教程推荐

1. Algorithmic Trading & Quantitative Analysis Using Python 经过 Mayank Rasu Udemy课程 我们的最佳选择

Build fully automated trading system and Implement quantitative trading strategies using Python

截至目前,超过 25151+ 人们已经注册了这门课程,而且已经结束了 3108+ 评论.

课程内容
Introduction
Getting Data
Web Scraping to Extract Financial Data
Basic Data Handling and Operations
Technical Indicators
Performance Measurement – KPIs
Backtest Your Strategies
Value Investing
Building Automated Trading System on a Shoestring Budget
Bonus Section: Running Your Algorithms in Cloud
Bonus Section: Sentiment Analysis
Archived Lectures

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2. Level I CFA® Prep Course 2022/2023 – Quantitative Methods 经过 “PrepNuggets | by Keith Tan, CFA” Udemy课程

Deep dive into Quant with the Bestselling CFA® prep course provider | With visual learning + Quizzes

截至目前,超过 19082+ 人们已经注册了这门课程,而且已经结束了 3222+ 评论.

课程内容
“Introduction
Time Value of Money
Discounted Cash Flow (2019)
Organising, Visualising, and Describing Data
Probability Concepts
Common Probability Distributions
Sampling and Estimation
Hypothesis Testing
Introduction to Linear Regression
BONUS: Further resources for your exam prep”

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3. Financial Derivatives: A Quantitative Finance View 经过 Cameron Connell Udemy课程

“The financial engineering of forwards, futures, swaps, and options, with Python tools for fixed income and options”

截至目前,超过 12606+ 人们已经注册了这门课程,而且已经结束了 1753+ 评论.

课程内容
“Introduction
Fundamentals
Arbitrage
Forwards, Futures, and Swaps
Stochastic Processes and Asset Prices
Options”

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4. Quantitative Finance & Algorithmic Trading in Python 经过 Holczer Balazs Udemy课程

“Stock Market, Bonds, Markowitz-Portfolio Theory, CAPM, Black-Scholes Model, Value at Risk and Monte-Carlo Simulations”

截至目前,超过 10768+ 人们已经注册了这门课程,而且已经结束了 1201+ 评论.

课程内容
Introduction
Environment Setup
Stock Market Basics
Bonds Theory
Bonds Implementation
Modern Portfolio Theory (Markowitz-Model)
Markowitz-Model Implementation
Capital Asset Pricing Model (CAPM) Theory
Capital Asset Pricing Model (CAPM) Implementation
Derivatives Basics
Random Behavior in Finance
Black-Scholes Model
Black-Scholes Model Implementation
Value at Risk (VaR)
Collateralized Debt Obligations (CDOs) and the Financial Crisis
Interest Rate Modeling (Vasicek Model)
Pricing Bonds with Vasicek Model
Long-Term Investing
NEXT STEPS
APPENDIX – PYTHON PROGRAMMING CRASH COURSE
Appendix #1 – Python Basics
Appendix #2 – Functions
Appendix #3 – Data Structures in Python
Appendix #4 – Object Oriented Programming (OOP)
Appendix #5 – NumPy
Course Materials (DOWNLOADS)

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5. Statistics and probability for Quantitative finance 经过 Lucas Inglese Udemy课程

“Learning by doing! Apply statistics on Trading and quantitative finance. (Forex, crypto, stocks )”

截至目前,超过 8295+ 人们已经注册了这门课程,而且已经结束了 49+ 评论.

课程内容
“Introduction
Descriptive statistics
Exercise: Compute risk/return, correlation asset PROPERLY
Combinatorial statistics
Exercise: Find the number of combinations between forex pairs
Probability
Exercise: From 50% to 70% of good trade?
Law of probability
Exercise: Find the best stop loss & take profit / Compute the VaR
Hypothesis test
Exercise: You trading strategy really works or it’s randomness? / Bonus
How to go deeper in the algorithmic trading field?
BONUS 1: Python basics
BONUS 2: Python for data science”

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6. Algorithmic Trading & Time Series Analysis in Python and R 经过 Holczer Balazs Udemy课程

“Technical Analysis (SMA and RSI), Time Series Analysis (ARIMA and GRACH), Machine Learning and Mean-Reversion Strategies”

截至目前,超过 4222+ 人们已经注册了这门课程,而且已经结束了 324+ 评论.

课程内容
Introduction
Environment Setup
Stock Market Basics
### USING TECHNICAL INDICATORS ###
Moving Average Indicator
Moving Average Crossover Strategy
Relative Strength Indicator (RSI)
Relative Strength Indicator (RSI) Strategy
Backtrader Framework
Momentum & SMA Combined Trading Strategy
Momentum & SMA Combined Trading Strategy Implementation
### TIME SERIES ANALYSIS ###
Time Series Analysis Fundamentals
Random Walk Model
Autoregressive Model (AR)
Moving Average Model (MA)
Autoregressive Moving Average Model (ARMA)
Autoregressive Integrated Moving Average Model (ARIMA)
Autoregressive Conditional Heteroskedastic Model (ARCH)
Generalized Autoregressive Heteroskedastic Model (GARCH)
FOREX Trading Strategy Implementation
Stock Market Trading Strategy Implementation
### MARKET NEUTRAL TRADING STRATEGIES ###
Mean Reversion
Bollinger Bands
Bollinger Bands Trading Strategy Implementation
Cross-Sectional Mean Reversion
Cross-Sectional Mean Reversion Trading Strategy Implementation
### MACHINE LEARNING TRADING ALGORITHMS ###
Logistic Regression
Logistic Regression Trading Strategy Implementation
Support Vector Machines (SVMs)
Support Vector Classifier Trading Strategy Implementation
Machine Learning Algorithms and Indicators
### PYTHON PROGRAMMING CRASH COURSE ###
Appendix #1 – Python Basics
Appendix #2 – Functions
Appendix #3 – Data Structures in Python
Appendix #4 – Object Oriented Programming (OOP)
Appendix #5 – NumPy
### R PROGRAMMING CRASH COURSE ###
Appendix #6 – R Fundamentals
Course Materials (DOWNLOADS)

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7. Fixed Income Analytics: Pricing and Risk Management 经过 Cameron Connell Udemy课程

With Python Tools for Bonds and Money Market Instruments

截至目前,超过 1456+ 人们已经注册了这门课程,而且已经结束了 158+ 评论.

课程内容
Introduction
Interest Rates and Bonds
The Time Value of Money
Term Structure
Interest Rate Risk

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8. All Weather Investing Via Quantitative Modeling In Excel 经过 AllQuant . Udemy课程

Master The Principles of A Resilient Investing Strategy using Stocks & Bonds ETF called Risk Parity Used In Hedge Funds

截至目前,超过 749+ 人们已经注册了这门课程,而且已经结束了 120+ 评论.

课程内容
Introduction
Concept of All-Weather Investing
Excel Crash Course
Financial Mathematics
Building The All-Weather Risk Parity Model
Risk Parity Operations
Bonus : VBA Scripts

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9. Quantitative Finance with R 经过 Packt Publishing Udemy课程

“Learn portfolio optimization, asset pricing, and risk management with R”

截至目前,超过 663+ 人们已经注册了这门课程,而且已经结束了 136+ 评论.

课程内容
First Things First!
Data Analysis with R
Staying Secured with Fixed-Income Securities
Derivatives for Risk Management
Analysing Risk/Return with Modern Portfolio Theory Techniques
The Capital Asset Pricing Model – CAPM Model
Manage Risks and Safeguard Profits with Portfolio Risk Management

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10. Backtesting Strategies: Test Trading Strategies Using Python 经过 Robert Grzesik Udemy课程

Find out if your trading strategy will work in real life by testing how it would have worked in the past

截至目前,超过 433+ 人们已经注册了这门课程,而且已经结束了 33+ 评论.

课程内容
Introduction
Performance Metrics
Backtesting

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下面是一些关于学习的常见问题计量金融课程

学习计量金融课程需要多长时间?

“学习计量金融课程需要多长时间”这个问题的答案是。 . .这取决于。每个人都有不同的需求,每个人都在不同的场景下工作,所以一个人的答案可能与另一个人的答案完全不同。

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在哪里学习 计量金融课程?

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