Quantitative Portfolio & Risk Management

Master the math, the models, and the mindset of modern investing.

Learn quantitative portfolio and risk management with Python, statistics, and AI โ€” built for students and professionals who want to think and invest with confidence.

How AI & LLMs are reshaping quantitative finance

Large language models are lowering the barrier to entry โ€” making research, coding, and analysis more accessible than ever. We break down what's changing and what it means for how you learn and invest.

Use AI to learn and participate

From building your first portfolio model to running risk simulations, learn practical, hands-on ways to use AI as a study partner and a tool for quantitative portfolio management and investment.

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