RH
Jan 4, 2024
It is an excellent course to apply statistic, probability and python methods in financial modelling. I would like that each section had resources to study statistics concepts related to the videos.
EJ
Aug 3, 2019
Great course! Very didatic explanations about financial and statistical concepts also with some interesting practical Python for Finance! Looking forward for new courses from same Univ. and prof.!
By Sean S
•Nov 26, 2019
The code examples and quizzes have not been properly reviewed and there were multiple mistakes in them.
By Marshall T
•May 26, 2020
codes are not updated to python 3. Also little opportunity to apply codes in IDLE/Anacdona yourself.
By Christeen P
•Mar 12, 2021
Disorganized, and the quizzes are not testing abilities nor knowledge but just quantitative skills.
By Avnish A
•Mar 26, 2020
very vague and non detailed explanations from week 2. almost impossible to catch up.
week 1 was good
By Pedro J G R
•Oct 14, 2021
Very complex explanations (even if you learnt statistic before) and then zero practice. A fake!
By Kwame N D
•Jan 5, 2021
Very poor delivery by the instructor. Course title inappropriate for the content.
By Ohad s
•Oct 2, 2020
the instructor is not understandable and don't really explain the material
By Chavassieux
•Sep 17, 2021
A lot of formulas but it miss some example too generalist sometimes
By Boyan D
•Nov 5, 2020
I regret starting this course. You should unlist it from coursera.
By tanish s
•Apr 27, 2020
very bad course. dont take it . no indepth knowledge.
By Julian E
•Sep 12, 2021
The labs are not challenging
By Deependu G
•Apr 20, 2021
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By Umar A R
•Aug 5, 2023
not a comprehensive
By hernan b
•Feb 13, 2023
no entendi nada
By Priyanshu C
•Sep 29, 2021
Very bad course
By Suman D
•Nov 11, 2021
very bad
By Mohamed s
•May 15, 2020
too bad