Predictive Machine Learning in Finance: Risk Modeling and Forecasting with Python and Cursor
Specially designed for the finance industry, this course focuses on using data modeling to model risk and forecast market trends.
You’ll learn Python techniques for financial data analysis, build models to predict risk scenarios, and explore the implications of AI-driven forecasting in investment and risk management.
This is ideal for finance professionals looking to leverage AI.
Sign up today! Limited spots.
Your Instructor
This bundle is a collaborative effort between multiple Mammoth Instructors.
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