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[FreeTutorials.Us] python-for-finance-investment-fundamentals-data-analytics |
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Total Size |
871.8 MB |
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Total Files |
177 |
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Hash |
9DA9D09F12F9C5AA819C780FDA39CB69DDD4DF81 |
/.../003-programming-explained-in-5-minutes/ |
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2.3 MB |
/.../047-musthave-packages-for-finance-and-data-science/ |
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262.3 KB |
/.../054-what-are-we-going-to-see-next/ |
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1.4 MB |
/.../062-calculating-the-rate-of-return-of-indices/ |
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238.5 KB |
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114.9 KB |
/.../063-how-do-we-measure-a-securitys-risk/ |
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1.4 MB |
/.../065-the-benefits-of-portfolio-diversification/ |
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1.4 MB |
/.../066-calculating-the-covariance-between-securities/ |
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1.4 MB |
/.../067-measuring-the-correlation-between-stocks/ |
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1.4 MB |
/.../071-understanding-systematic-vs.-idiosyncratic-risk/ |
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1.4 MB |
/.../073-the-fundamentals-of-simple-regression-analysis/ |
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14.8 KB |
/.../074-running-a-regression-in-python/ |
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10.3 KB |
/.../076-computing-alpha-beta-and-r-squared-in-python/ |
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10.3 KB |
/.../078-obtaining-the-efficient-frontier-in-python-part-i/ |
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60.0 KB |
/.../079-obtaining-the-efficient-frontier-in-python-part-ii/ |
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60.0 KB |
/.../080-obtaining-the-efficient-frontier-in-python-part-iii/ |
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60.0 KB |
/.../082-understanding-and-calculating-a-securitys-beta/ |
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1.4 MB |
/.../083-calculating-the-beta-of-a-stock/ |
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41.7 KB |
/.../084-the-capm-formula/ |
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1.4 MB |
/.../085-calculating-the-expected-return-of-a-stock-capm/ |
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41.7 KB |
/.../087-obtaining-the-sharpe-ratio-in-python/ |
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41.7 KB |
/.../090-running-a-multivariate-regression-in-python/ |
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10.3 KB |
/quizzes/ |
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3.8 KB |
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3.7 KB |
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3.6 KB |
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/quizzes/ |
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/quizzes/ |
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/01-welcome-course-introduction/ |
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13.7 MB |
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8.6 MB |
/02-introduction-to-programming-with-python/ |
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15.6 MB |
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16.4 MB |
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10.3 MB |
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16.2 MB |
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4.5 MB |
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12.9 MB |
/03-python-variables-and-data-types/ |
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7.6 MB |
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4.7 MB |
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12.5 MB |
/04-basic-python-syntax/ |
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7.5 MB |
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3.0 MB |
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2.2 MB |
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2.7 MB |
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1.4 MB |
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2.8 MB |
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3.4 MB |
/05-python-operators-continued/ |
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3.0 MB |
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12.5 MB |
/06-conditional-statements/ |
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4.3 MB |
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5.5 MB |
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8.5 MB |
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3.4 MB |
/07-python-functions/ |
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2.7 MB |
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8.5 MB |
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3.8 MB |
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2.4 MB |
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6.5 MB |
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2.6 MB |
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6.1 MB |
/08-python-sequences/ |
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8.8 MB |
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7.6 MB |
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10.8 MB |
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4.4 MB |
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9.5 MB |
/09-using-iterations-in-python/ |
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3.6 MB |
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5.0 MB |
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4.7 MB |
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6.3 MB |
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4.6 MB |
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4.8 MB |
/10-advanced-python-tools/ |
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9.0 MB |
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2.2 MB |
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5.3 MB |
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8.7 MB |
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9.1 MB |
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11.8 MB |
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4.0 MB |
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10.0 MB |
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16.8 MB |
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12.1 MB |
/11-part-ii-finance-calculating-and-comparing-rates-of-return-in-python/ |
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9.0 MB |
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5.0 MB |
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10.1 MB |
056-calculating-a-securitys-rate-of-return-in-python-simple-returns-part-i.mp4 |
14.6 MB |
057-calculating-a-securitys-rate-of-return-in-python-simple-returns-part-ii.mp4 |
5.7 MB |
058-calculating-a-securitys-return-in-python-logarithmic-returns.mp4 |
9.5 MB |
059-what-is-a-portfolio-of-securities-and-how-to-calculate-its-rate-of-return.mp4 |
5.3 MB |
060-calculating-the-rate-of-return-of-a-portfolio-of-securities.mp4 |
23.4 MB |
061-popular-stock-indices-that-can-help-us-understand-financial-markets.mp4 |
6.9 MB |
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9.8 MB |
/12-part-ii-finance-measuring-investment-risk/ |
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11.6 MB |
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17.2 MB |
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7.2 MB |
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8.1 MB |
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7.0 MB |
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12.8 MB |
069-considering-the-risk-of-multiple-securities-in-a-portfolio.mp4 |
11.1 MB |
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6.6 MB |
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6.1 MB |
072-calculating-diversifiable-and-nondiversifiable-risk-of-a-portfolio.mp4 |
7.4 MB |
/13-part-ii-finance-using-regressions-for-financial-analysis/ |
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6.7 MB |
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14.9 MB |
075-are-all-regressions-created-equal-learning-how-to-distinguish-good-regressions.mp4 |
9.5 MB |
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15.1 MB |
/14-part-ii-finance-markowitz-portfolio-optimization/ |
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077-markowitz-portfolio-theory-one-of-the-main-pillars-of-modern-finance.mp4 |
14.0 MB |
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13.1 MB |
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12.2 MB |
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3.9 MB |
/15-part-ii-finance-the-capital-asset-pricing-model/ |
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081-the-intuition-behind-the-capital-asset-pricing-model-capm.mp4 |
9.3 MB |
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7.8 MB |
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6.6 MB |
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7.2 MB |
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5.6 MB |
086-introducing-the-sharpe-ratio-and-the-way-it-can-be-applied-in-practice.mp4 |
4.5 MB |
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2.8 MB |
088-measuring-alpha-and-verifying-how-good-or-bad-a-portfolio-manager-is-doing.mp4 |
7.9 MB |
/16-part-ii-finance-multivariate-regression-analysis/ |
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089-multivariate-regression-analysis-a-valuable-tool-for-finance-practitioners.mp4 |
11.4 MB |
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16.1 MB |
/17-part-ii-finance-monte-carlo-simulations-as-a-decisionmaking-tool/ |
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5.0 MB |
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5.2 MB |
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19.5 MB |
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5.1 MB |
095-forecasting-stock-prices-with-a-monte-carlo-simulation.mp4 |
7.8 MB |
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8.6 MB |
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11.4 MB |
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10.7 MB |
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11.3 MB |
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8.5 MB |
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10.7 MB |
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11.3 MB |
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3.7 MB |
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Total files 177 |
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