Description
Financial Engineering and Risk Management Specialization is a financial engineering and risk management training series published by Coursera Specialized Academy. This educational series consists of five completely independent and separate courses that cover various topics such as derivative pricing, asset allocation, portfolio and investment portfolio optimization, natural options, and energy derivatives. derivatives), commodities, algorithmic and machine transactions, etc. All topics taught are practical and can be used to solve academic and industrial challenges.
What you will learn in Financial Engineering and Risk Management Specialization:
Course details
Publisher: Coursera
teacher: Garuda Iyengar ,Ali Hirsa And Martin Haugh
English language
Presenting Institution/University: Columbia University
Education level: Intermediate
Number of courses: 5
Duration of training: assuming 3 hours of work per week, about 7 months
The courses available in the Financial Engineering and Risk Management Specialization collection
Course 1
Introduction to Financial Engineering and Risk Management
Course 2
Term-Structure and Credit Derivatives
Course 3
Optimization Methods in Asset Management
Course 4
Advanced Topics in Derivative Pricing
Course 5
Computational Methods in Pricing and Model Calibration
Course prerequisites
What background knowledge is necessary?
Students should at some point have taken intermediate to advanced undergraduate courses in: (i) probability and statistics, (ii) linear algebra, and (iii) calculus. With regards to programming, we have designed the course so that all required “programming” questions can all be completed within Excel and Python. That said, students are welcome to complete the assignments using their software/programming languages โโof choice. It would also be very helpful if people have had some prior exposure to an introductory finance course. In particular, students should know what interest rates are, understand discounting and compounding, and have some basic familiarity with options, futures, etc.
Course images
Introduction video of Financial Engineering and Risk Management Specialization
Installation guide
After Extract, view with your favorite Player.
English subtitle
Quality: 720p
This collection includes 5 different courses.
download link
Introduction to Financial Engineering and Risk Management
Term-Structure and Credit Derivatives
Optimization Methods in Asset Management
Advanced Topics in Derivative Pricing
Computational Methods in Pricing and Model Calibration
Password file(s): www.downloadly.ir
Size
About 3.6 GB in total
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