Understanding risk
Python ile Portföy Risk Yönetimine Giriş
Dakota Wixom
Quantitative Analyst | QuantCourse.com
Summary
Moments and Distributions
Portfolio Composition
Correlation and Co-Variance
Markowitz Optimization
Beta & CAPM
FAMA French Factor Modeling
Alpha
Value at Risk
Monte Carlo Simulations
Good luck!
Python ile Portföy Risk Yönetimine Giriş
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