This programme aims to demonstrate the applications of AI-based models in the finance domain. This includes the application of Python programming in solving real-life wealth management problems to improve investment decisions with AI.
In this programme, you’ll build a solid practical foundation in the finance domain and learn how to deploy AI and machine learning-based models to solve a variety of problems in the finance domain, including wealth-management, algorithmic trading, investment banking, and more.
As you advance through the programme, you’ll learn:
- Fundamentals of financial risk management and tackle financial problems
- Basics of Python and R programming
- Application of artificial intelligence and machine learning-based models to the finance domain.
- Application of these skills in the fields of financial risk management, investments, algorithmic trading, wealth management, sentiment analysis and more, through a hands-on, project based approach.