The course aims at helping students to be able to solve practical ML-amenable problems that they may encounter in real life that include: (1) understanding where the problem one faces lands on a general landscape of available ML methods, (2) understanding which particular ML approach(es) would be most appropriate for resolving the problem, and (3) ability to successfully implement a solution, and assess its performance.



Fundamentals of Machine Learning in Finance
This course is part of Machine Learning and Reinforcement Learning in Finance Specialization

Instructor: Igor Halperin
Access provided by Coursera Learning Team
22,381 already enrolled
(339 reviews)
Skills you'll gain
- Data-Driven Decision-Making
- Correlation Analysis
- Supervised Learning
- Decision Tree Learning
- Machine Learning
- Network Analysis
- Applied Machine Learning
- Unsupervised Learning
- Reinforcement Learning
- Artificial Neural Networks
- Technical Analysis
- Dimensionality Reduction
- Regression Analysis
- Time Series Analysis and Forecasting
- Markov Model
- Random Forest Algorithm
Details to know

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There are 4 modules in this course
What's included
9 videos4 readings1 programming assignment1 ungraded lab
What's included
6 videos3 readings1 programming assignment1 ungraded lab
What's included
7 videos3 readings1 programming assignment1 ungraded lab
What's included
11 videos3 readings1 programming assignment1 ungraded lab
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339 reviews
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Reviewed on Sep 3, 2019
Great course which covers both theories as well as practical skills in the real implementations in the financial world.
Reviewed on Sep 11, 2021
I liked the course, but the bugs in the programming assignments are sometimes unbearable.
Reviewed on Aug 10, 2019
Furthered my understanding of how probabilistic models are connected to Machine Learning models. Very happy with the content in this course.
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