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Python for Finance: Beta and Capital Asset Pricing Model
Coursera
Guided Project
Unknown

Python for Finance: Beta and Capital Asset Pricing Model

Coursera

Use Python to analyze stocks, calculate Beta, and expected returns via the Capital Asset Pricing Model in a practical project.

Unknown1 weeksEnglish

About this Course

In this project, we will use Python to perform stocks analysis such as calculating stock beta and expected returns using the Capital Asset Pricing Model (CAPM). CAPM is one of the most important models in Finance and it describes the relationship between the expected return and risk of securities. We will analyze the performance of several companies such as Facebook, Netflix, Twitter and AT&T over the past 7 years. This project is crucial for investors who want to properly manage their portfolios, calculate expected returns, risks, visualize datasets, find useful patterns, and gain valuable insights. This project could be practically used for analyzing company stocks, indices or currencies and performance of portfolio. Note: This course works best for learners who are based in the North America region. We’re currently working on providing the same experience in other regions

What You'll Learn

  • Understand CAPM theory and intuition
  • Calculate Beta and expected returns in Python
  • Perform interactive visualization with Plotly

Prerequisites

  • Basic familiarity with software or workflow used
  • Ability to follow step-by-step instructions in English

Instructors

R

Ryan Ahmed

Adjunct Professor & AI Enthusiast

Topics

Finance
Business
Business Essentials
Python Programming
Equities
Pandas (Python Package)
Data Manipulation
Plotly
Market Data
Portfolio Risk

Course Info

PlatformCoursera
LevelUnknown
PacingUnknown
PriceFree

Skills

التمويل
الأعمال
أساسيات الأعمال
برمجة بايثون
الأسهم
مكتبة Pandas
معالجة البيانات
الرسوم البيانية عبر Plotly
Market Data
Portfolio Risk

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