Predictive AI in Finance: Mastering Risk, Forecasting, and Simulation Techniques

6 casts | 1:13:29 for the total course

AI Python Finance

Description

Dive into the cutting-edge world of predictive analytics in finance. This course equips you with the essential tools to understand and implement key models like Value at Risk (VaR), ARIMA for time-series forecasting, and Monte Carlo Simulation. Through hands-on Python and Cursor projects, you’ll gain practical expertise in managing risk, analyzing financial data, and creating robust simulations to make data-driven decisions in the fast-paced financial sector.

  • 1. Risk At Value (VaR)
    • 01.01 What Is Risk at Value (VaR) | Predictive AI in Finance

      9:07

    • 01.02 VaR In Python & Cursor | Predictive AI in Finance

      16:11

  • 2. ARIMA
    • 02.01 What Is ARIMA | Predictive AI in Finance

      7:04

    • 02.02 ARIMA In Python & Cursor | Predictive AI in Finance

      15:41

  • 3. Monte Carlo Simulation
    • 03.01 What Is the Monte Carlo Simulation | Predictive AI in Finance

      5:02

    • 03.02 Monte Carlo In Cursor & Python | Predictive AI in Finance

      20:24

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