Python for Finance and Data Science
Learn Python for Finance and Data Science – Analyze Real Data, Build Portfolios, and Backtest Trading Strategies

Python for Finance and Data Science udemy course free download
Learn Python for Finance and Data Science – Analyze Real Data, Build Portfolios, and Backtest Trading Strategies
Master Python for Finance and Data Science — with Real-World Projects and Expert Guidance
Unlock the skills used by top finance and data professionals. Whether you're aiming to become a quant, analyst, or data-driven investor, this course gives you the tools to analyze markets, optimize portfolios, and build trading strategies using Python.
What You Will Learn:
Financial data analysis: Retrieve, clean, and visualize real stock data
Portfolio management: Build, analyze, and optimize portfolios in Python
Backtesting strategies: Test trading ideas with vectorized backtesting tools
Applied machine learning: Use ML for advanced financial modeling
Interactive dashboards: Build clear, modern dashboards with real data
Pandas and SQL: Combine Python and databases for smarter analysis
Real projects and exercises to apply everything hands-on
Why This Course?
Taught by an experienced quant actively working in finance and data science
Over 75,000 students have learned from me on YouTube and beyond
No filler content — every video is practical, direct, and relevant
Includes quizzes, challenges, and guided projects
Outstanding support: Ask questions anytime and get help fast
Whether you're looking to upgrade your skills, break into the industry, or bring automation and insight to your financial work, this course gives you the practical knowledge to do it.
Start learning Python for Finance and Data Science today — and take your career or trading to the next level.