Backtesting Strategies: Test Trading Strategies Using Python
Find out if your trading strategy will work in real life by testing how it would have worked in the past
4.50 (45 reviews)

542
students
3 hours
content
Mar 2020
last update
$13.99
regular price
What you will learn
Calculate risk and return of investment portfolios
Create graphs and charts using Pandas and Matplotlib
Apply best practices when working with financial data
Take your career to the next level
Be comfortable applying for a developer job in a financial institution
Perform backtesting analysis on your investments
Build and analyze investment portfolios
Calculate risk and return of individual securities
Compare securities using their Sharpe ratio
Use Python to solve real-world tasks
Carry out in-depth investment analysis
Perform max drawdown analysis
Understand how to use the data analysis toolkit, Pandas
Apply and succeed in the best rated job in the world: Data Science
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2842340
udemy ID
2/29/2020
course created date
3/22/2020
course indexed date
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