Financial Analytics with Python in Hindi - How to Build Financial Models with Python
Offered By: Great Learning via YouTube
Course Description
Overview
Explore financial analytics using Python in this Hindi-language tutorial. Learn how banks and financial institutions leverage predictive analytics for risk modeling, focusing on market and credit risk. Discover techniques to predict and prevent fraudulent transactions. Gain hands-on experience through a Python demonstration of market and credit risk concepts. Enhance your understanding of risk analytics in the banking sector, including loan default prediction and aggregate default rate estimation. Participate in a Q&A session to clarify concepts covered in this informative one-hour session on building financial models with Python.
Syllabus
Financial Analytics with Python in Hindi | How to Build Financial Models with Python |Great Learning
Taught by
Great Learning
Related Courses
Les fondamentaux de la gestion des risques financiersPSL Research University via France Université Numerique Measuring Risk: Equity, Fixed Income, Derivatives and FX
New York Institute of Finance via edX Introduction to Risk Management
New York Institute of Finance via edX Banking and Financial Markets: A Risk Management Perspective
Indian Institute of Management Bangalore via edX Corporate Finance II: Financing Investments and Managing Risk
University of Illinois at Urbana-Champaign via Coursera