CODE: FP07
DURATION: 5 Days/10 Days
CERTIFICATIONS: CPD
This course is a blend of finance and technology that explores the practical application of machine learning techniques in finance to enhance strategic decision-making. It covers financial time series analysis, forecasting, portfolio optimization, risk management, sentiment analysis, and algorithmic trading, using popular ML models and programming tools to equip participants with skills to develop data-driven financial strategies.
This course is available in the following formats:
Virtual
Classroom
Request this course in a different delivery format.
Course Outcomes
Delegates will gain the knowledge and skills to:
Master machine learning foundations for financial applications.
Build predictive models for market trends and asset pricing.
Design AI-powered portfolios with optimized asset allocation.
Develop advanced risk models using ML algorithms.
Leverage NLP techniques for market sentiment analysis.
Implement ML solutions across trading, risk, and wealth management.
At the end of this course, you’ll understand:
This course is designed for finance professionals, quantitative analysts, portfolio managers, risk managers, financial engineers, data scientists, and anyone interested in applying machine learning to solve complex problems in financial markets and enhance investment strategies.
✓ Modern facilities
✓ Course materials and certificate
✓ Accredited international trainers
✓ Training materials and workbook
✓ Access to online resources
1 month ago
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