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Fundamentals of Data-Driven Investment
Coursera
Course
Unknown

Fundamentals of Data-Driven Investment

Sungkyunkwan University

This course covers fundamental investment analysis using R programming, focusing on practical application of investment analysis and portfolio management skills.

Unknown4 weeksKK, German, HI, RU

About this Course

In this course, the instructor will discuss the fundamental analysis of investment using R programming. The course will cover investment analysis topics, but at the same time, make you practice it using R programming. This course's focus is to train you to do the elemental analysis for investment management that you might need to do in your job every day. Additionally, the study note to do using Python programming will be provided. The course is designed with the assumption that most students already have a little bit of knowledge in financial economics. Students are expected to have heard about stocks and bonds and balance sheets, earnings, etc., and know the introductory statistics level, such as mean, median, distribution, regression, etc. The instructor will explain the detail of R programming for beginners. It will be an excellent course for you to improve your programming skills. If you are very good at R programming, it will provide you an excellent opportunity to practice again with finance and investment examples. Professor Youngju Nielsen creates the course with the assistants of Keonwoo Lim and Jeeun Yuen. =========================================================================================== Coursera Course recommendations before this course for those who are not familiar with basic R programming: <Getting Started with R> https://www.coursera.org/projects/getting-started-with-r <Introduction to Business Analytics with R> https://www.coursera.org/learn/business-analytics-r <Statistics with Python > https://www.coursera.org/specializations/statistics-with-python

What You'll Learn

  • Build an investment factor model using regression methodology
  • Apply optimization algorithms using R standard library
  • Explain portfolio performance

Prerequisites

  • Basic knowledge in financial economics and statistics
  • Basic computer and internet skills
  • Understanding of financial concepts such as stocks and bonds

Instructors

Y

Youngju Nielsen

Topics

Data Analysis
Data Science
Finance
Business
Time Series Analysis and Forecasting
Investment Management
Financial Analysis
Financial Modeling
Portfolio Risk
R Programming

Course Info

PlatformCoursera
LevelUnknown
PacingUnknown
PriceFree

Skills

تحليل البيانات
علوم البيانات
التمويل
الأعمال
تحليل السلاسل الزمنية
إدارة الاستثمار
التحليل المالي
نمذجة مالية
Portfolio Risk
R Programming

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