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Learner Reviews & Feedback for Introduction to Portfolio Construction and Analysis with Python by EDHEC Business School

4.8
stars
1,404 ratings

About the Course

The practice of investment management has been transformed in recent years by computational methods. This course provides an introduction to the underlying science, with the aim of giving you a thorough understanding of that scientific basis. However, instead of merely explaining the science, we help you build on that foundation in a practical manner, with an emphasis on the hands-on implementation of those ideas in the Python programming language. This course is the first in a four course specialization in Data Science and Machine Learning in Asset Management but can be taken independently. In this course, we cover the basics of Investment Science, and we'll build practical implementations of each of the concepts along the way. We'll start with the very basics of risk and return and quickly progress to cover a range of topics including several Nobel Prize winning concepts. We'll cover some of the most popular practical techniques in modern, state of the art investment management and portfolio construction. As we cover the theory and math in lecture videos, we'll also implement the concepts in Python, and you'll be able to code along with us so that you have a deep and practical understanding of how those methods work. By the time you are done, not only will you have a foundational understanding of modern computational methods in investment management, you'll have practical mastery in the implementation of those methods....

Top reviews

SW

Aug 5, 2020

I am self taught in Python and have an industry background in Finance. This course was a good connector/provided additional insight on using Python to process portfolio performance and data analysis.

MA

Nov 29, 2020

Awesome Course, Great instructors that give a nice balance of theory and practice, the practice is very hands-on and will help you understand the theory and give you useful tools from the first week.

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301 - 325 of 378 Reviews for Introduction to Portfolio Construction and Analysis with Python

By Maxime N

•

Mar 8, 2021

Très pédagogique

By Jobian G

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Apr 27, 2020

Excelent course.

By Julian D

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Jan 2, 2020

Well structured!

By Santiago G

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May 2, 2020

Great, thanks!

By HAN J

•

Dec 29, 2020

Great course!

By Radka M

•

Apr 25, 2020

Great course!

By Scott-Patrick M W

•

Jan 24, 2024

intense labs

By Victor P

•

Jan 5, 2024

10 out of 10

By Chintan J

•

Nov 13, 2020

Good course.

By Phuoc H H

•

Aug 24, 2020

great course

By Deleted A

•

Jul 10, 2020

Excellent!!!

By Ron J

•

May 31, 2020

Great course

By Gabriel d A M

•

Apr 16, 2021

Muito Bom!

By Gustavo G

•

Nov 22, 2023

Great ¡¡¡

By Khurum P

•

Feb 2, 2023

Excellent

By Pruthul R

•

Jul 17, 2021

Top notch

By mohamed h

•

Nov 24, 2019

awesome

By William A (

•

Mar 21, 2022

Top !

By Martin W

•

Apr 19, 2021

Bieng

By alex s a l

•

Sep 14, 2024

nice

By Luke L

•

May 27, 2020

good

By Hemkumar S

•

Apr 5, 2022

Overall an excellent course. I am an experimental physicist and was comfortable with the mathematics and programming part. Definitely others with a background in maths/physics/economics/engineering etc. will not be daunted by the equations. The course covers the basics of finance very well in the first two weeks with a gradual increase in the weightage given to python learning in the first threee weeks. However, the fourth week seemed a bit too heavy in the finance part. To me, it felt as though the student already has an elementary background in bonds and liability driven investing. Maybe a little more explanation of these concepts could be better.

By Anna P

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Jun 28, 2021

This is a high quality course with top material included!

The skills are relevant for the industry.

The course is also interesting and fun to take.

I have only two comments for thought:

Instead of copy pasting in some videos, a more thorough explanation would be nice and

some strategies require essentially continuous rebalancing something that cannot happen in practice. So it would be best if strategies allowed for less frequent rebalancing.

We can of course build our strategies to allow for less frequent rebal, I am just saying!

By Paolo G

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Oct 14, 2020

Nice course that brings to life real-world applications of Python in the context of institutional investor's portfolios. Requires a background in investment management basics (e.g. discount rates, portfolio analysis) and is ok for Python novices, like me. I found the course especially interesting in the last part, when LDI modelling via Python was presented. At the same time, the Python part feels a bit rushed in this last chapter, although a lot has to do with my beginner-level knowledge of this programming platform.

By rami y

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May 12, 2020

The instructors have done a great job at helping learners gain hands on experience with rather sophisticated investment management techniques. However, illustrating the practicalities of portfolio construction and insurance came at the expense of only brushing on the theory behind some of the notions introduced. Maybe it was meant to be this way but I would have loved to see more analysis of CPPI and the pricing of ZC bonds under CIR model.