The aim of this course is to enable students to implement financial models using realistic data. Several topics in financial economics will be covered and the students will at the end of the course be able to implement financial models from scratch in Python. This will be highly relevant when writing academic papers and/or working in the financial industry.
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Quantitative Methods at Copenhagen Business School (2018, 2019, 2020)
Principles of Micro and Macro at Aarhus University (2011)
Empirical Research Methods at Aarhus University (2012, 2013, 2014)
Econometrics I at Aarhus University (2012, 2013)
Principles of Empirical Research Methods at Aarhus University (2014)
Mathematical Economics I at Aarhus University (2014)
Economic Modeling and Inference at Aarhus University (2015)