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Columbia University - Financial Engineering and Risk Management Specialization
- Offered byCoursera
Financial Engineering and Risk Management Specialization at Coursera Overview
Financial Engineering and Risk Management Specialization
at Coursera
Duration | 7 months |
Total fee | Free |
Mode of learning | Online |
Official Website | Explore Free Course |
Credential | Certificate |
Financial Engineering and Risk Management Specialization at Coursera Highlights
Financial Engineering and Risk Management Specialization
at Coursera
- Earn a certificate upon completion from Coursera
Financial Engineering and Risk Management Specialization at Coursera Course details
Financial Engineering and Risk Management Specialization
at Coursera
Skills you will learn
More about this course
- This specialization is intended for aspiring learners and professionals seeking to hone their skills in the quantitative finance area
- Through a series of 5 courses, students will cover derivative pricing, asset allocation, portfolio optimization as well as other applications of financial engineering such as real options, commodity and energy derivatives and algorithmic trading
- Those financial engineering topics will prepare you well for resolving related problems, both in the academic and industrial worlds
- Learners will apply the knowledge and skills, to various problems in the financial engineering area, including pricing derivatives of futures, equities, interest rates, and credit, conducting delta hedging, mean-variance portfolio construction, model fitting and optimization
Financial Engineering and Risk Management Specialization at Coursera Curriculum
Financial Engineering and Risk Management Specialization
at Coursera
Introduction to Financial Engineering and Risk Management
Term-Structure and Credit Derivatives
Optimization Methods in Asset Management
Advanced Topics in Derivative Pricing
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Financial Engineering and Risk Management Specialization
at Coursera