Learn essential data structures such as lists and data frames and apply that knowledge directly to financial examples.
Learn to apply statistical modeling in a real-life setting using logistic regression and decision trees to model credit risk.
Apply your finance and R skills to backtest, analyze, and optimize financial portfolios.
This course covers the basics of financial trading and how to use quantstrat to build signal-based trading strategies.
Learn about how dates work in R, and explore the world of if statements, loops, and functions. You'll practice this knowledge u...
Learn how to access financial data from local files as well as from internet sources.
Learn to use R to develop models to evaluate and analyze bonds as well as protect them from interest rate changes.