Financial Time Series Analysis with R

Learn the fundamentals of analyzing a financial time series in R

This course provides an introduction to the financial times series data and how we can analyze the time series data in R. You will learn about how to explore and build time series data, calculate its key statistics, and plot time series charts. You will also learn about how to use the important time series models such as White Noise, Random Walk, Autoregression and Moving Average. You will learn how to simulate these models in R and fit these models into financial time series data using the ARIMA functions. Finally you will learn about how to use the models to predict the future.

Frequently Asked Questions

When does the course start and finish?
The course starts now and never ends! It is a completely self-paced online course - you decide when you start and when you finish.
How long do I have access to the course?
How does lifetime access sound? After enrolling, you have unlimited access to this course for as long as you like - across any and all devices you own.
What if I am unhappy with the course?
We would never want you to be unhappy! If you are unsatisfied with your purchase, contact us in the first 30 days and we will give you a full refund.

Get started now!

Enroll now using the button above, or join our Data Science for Finance Membership to get access to all our courses. Learn more about membership.