Certification in Quantitative Finance
Python from Zero to Portfolio Pro
End-to-End Data Acquisition & Cleaning
Practical Portfolio Construction
Monte Carlo-Driven Optimisation
Constructing and Visualising the Efficient Frontier
Understanding & Calculating Portfolio Value at Risk (VaR)
Theory-to-Desk Integration
Mentor-Backed Learning Path
Career-Ready Certification
Dual Certification for CV & LinkedIn
Overview
Portfolio Management using Python
Develop practical skills in creating and optimising investment portfolios using Python. Learn to analyse market data, apply quantitative strategies, and simulate portfolio performance with tools like Monte Carlo simulations. This project enhances your programming and analytical abilities while providing valuable hands-on experience sought by employers.


Live Project in Quantitative Finance
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