I am a full-time professional at a leading trading firm, working daily with real financial markets, real capital, and real data. My work sits at the intersection of quantitative finance, Python, and data science — not theory, but production-level applications used in practice.
I hold two university degrees and have spent years applying Python to market data, derivatives, and systematic analysis. Alongside my professional work, I teach these skills to a global audience of over 125,000+ subscribers on YouTube, where I am known for turning complex financial concepts into clear, practical, and actionable frameworks.
My courses are designed for people who want real skills, not academic fluff. You will learn how Python is actually used in finance — from data analysis and modeling to strategy research and decision-making — with a strong focus on clarity, intuition, and hands-on implementation.
Unlike many instructors, I don’t teach finance about Python — I teach Python as it is used by professionals in finance. Everything you learn is grounded in real-world workflows, realistic assumptions, and industry-relevant examples.
Whether your goal is to transition into quantitative finance, level up as a trader or analyst, or build serious technical edge in the markets, my courses are built to move you from zero to applied competence as efficiently as possible.
If you want to understand financial data science the way professionals do — and confidently apply it yourself — you’re in the right place.