Overview
Explore financial analytics using Python in this comprehensive one-hour tutorial. Learn how banks and financial institutions leverage predictive analytics for risk modeling, focusing on market risk and credit risk. Discover techniques to predict and prevent fraudulent transactions. Gain practical insights through a Python demonstration of market and credit risk concepts. Engage in a Q&A session to address queries related to the covered material. Enhance your understanding of risk analytics in the banking sector and its importance in the wake of recent financial crises.
Syllabus
Financial Analytics with Python | Financial data Analysis using Python | Great Learning
Taught by
Great Learning