学生对 EDHEC Business School 提供的 Advanced Portfolio Construction and Analysis with Python 的评价和反馈
课程概述
热门审阅
FM
Jan 12, 2020
Enjoyed the part on the implementation of the Black-Litterman model and the Risk Parity portfolios. Looking forward to the third course.
LL
Sep 4, 2021
This course gives a good understanding of Fama-French, GARCH, Black-Litterman and risk parity models among many others, not only theoretically, but also through hands-on Lab sessions.
51 - Advanced Portfolio Construction and Analysis with Python 的 75 个评论(共 134 个)
创建者 Nikolay N
•Mar 7, 2020
Very interesting course with a lot practice stuff. A very proficient mentors with strong theoretical background in finance and good Python skills.
创建者 Rakesh P
•Jul 16, 2020
Again, both instructors built on the first course, were crystal clear, and made the course enjoyable to both watch and implement the learnings.
创建者 Fabian M
•Jan 13, 2020
Enjoyed the part on the implementation of the Black-Litterman model and the Risk Parity portfolios. Looking forward to the third course.
创建者 Karl J
•Sep 18, 2020
Courses are an exceptional introduction to these statistical methods and how to code them yourself. Great way to get your feet wet.
创建者 Steve B
•Dec 16, 2020
Great course, provides valuable insight into the theory along with well designed worked examples. Many thanks to both instructors.
创建者 Deni M
•Jun 27, 2021
Wonderful course , well designed and amazing delivery by the 2 professors. Very practical and useful for IM. Highly recommended.
创建者 Lynn v C
•Sep 26, 2020
What an exceptional course! The instructors are brilliant. And thanks for all the useful Python code. I highly recommend it.
创建者 Marwa A E K
•Aug 14, 2024
This is a great MOOC, I wish the lab sessions would have been a bit more detailed as the 1st course, but really thank you!
创建者 Molang D
•Aug 1, 2020
Excellent course with both theory and practice, the material is pretty much up to date and python lab is awesome.
创建者 Kenneth N
•Jul 13, 2022
Vijay outshines others in this specialization. He is very clear and a great teacher. all others are sub par.
创建者 Daniel B
•Dec 24, 2020
honestly one of the best courses out there on finance. i love finance and i love programming. amazing profs.
创建者 Roshan M
•Apr 19, 2020
Excellent course once again. Both Professors Martinelli and Vijay are outstanding in their explanations!
创建者 Jacopo G
•Aug 13, 2021
Great MOOC, full of insights and real applications of portfolio construction techiniques. Invaluable!
创建者 Chan C
•Nov 23, 2020
Enjoyed the relevant and up-to-date portfolio construction methodologies and hand-on coding sessions.
创建者 Antony J
•Oct 12, 2020
Loved this course! A wide coverage of modern asset-pricing and portfolio construction techniques.
创建者 Ashish K
•Feb 9, 2022
excellent way of teaching.... Mr Vaidyanathan in particular explains various aspects in depth...
创建者 Michael K
•Jun 25, 2020
Amazing. I have truly gained skills I can immediately deploy in my work in the investment field.
创建者 Ernesto M
•Apr 14, 2021
The same winning of the first course, transmitting concepts and practices in an excellent way!
创建者 Kostas T
•Apr 24, 2021
Another great MOOC! A little more live coding would make it equally great with the MOOC 1.
创建者 Samantha T
•May 4, 2020
Best course ever! A good preparation for the industry. The codes are easy to understand.
创建者 Jacob W
•May 19, 2020
Great way to learn about more sophisticated allocation methods in Portfolio Management.
创建者 Konstantinos R
•Nov 6, 2019
Very demanding, especially the tests. Extremely interesting lectures and to the point.
创建者 adrian c
•Jan 29, 2024
Exceptionally up to date and enjoyably challenging. Compelling and actual concepts
创建者 C
•Apr 30, 2020
Very good course. Simple to follow and the right level of detail for practitioners