Master financial markets and decision-making with NYU’s BS in Finance.
Stock portfolio performance tracker using Python
Valuation of tech startups using DCF models
Comparing active vs. passive investment strategies
Cryptocurrency risk-return profile analysis
Behavioral finance study on investor overconfidence
Predicting stock prices using machine learning
Evaluating credit risk using financial ratios
Impact of interest rates on bond portfolios
Modeling firm value with WACC components
Simulating an ETF with historical data
Analyzing NYSE vs. NASDAQ sector performance
Assessing ESG investments in mutual funds
Corporate dividend policy trend analysis
Currency risk hedging using forward contracts
Designing a personal financial budgeting tool
IPO pricing trends and underpricing analysis
Backtesting trading strategies using historical data
Economic indicators and their market correlations
Creating a financial literacy workshop series
Debt vs. equity financing for small businesses
Build financial expertise in global markets with NYU’s Finance program.
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