Python for Finance: Risk & Return | Part 1/8

Python for Finance: Risk & Return | Part 1/8

Learn how to analyse your investment portfolio with Python in this complete course. The focus is to understand Risk and Return in regards to portfolios. We will use Pandas and NumPy.

Learn how to analyse your investment portfolio with Python in this complete course. The focus is to understand Risk and Return in regards to portfolios. We will use Pandas and NumPy.

In this part of this 8 part course, we will learn how read finance data with Python with Pandas and Pandas DataReader. We will investigate differences between DataFrames (Pandas) and NumPy. With an example we will read stock data and calculate the return of a portfolio.

python pandas numpy portfolios

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