Coursera
Coursera Logo

Columbia University - Financial Engineering and Risk Management Specialization 

  • Offered byCoursera

Financial Engineering and Risk Management Specialization
 at 
Coursera 
Overview

Duration

7 months

Total fee

Free

Mode of learning

Online

Official Website

Explore Free Course External Link Icon

Credential

Certificate

Financial Engineering and Risk Management Specialization
 at 
Coursera 
Highlights

  • Earn a certificate upon completion from Coursera
Details Icon

Financial Engineering and Risk Management Specialization
 at 
Coursera 
Course details

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
Read more

Financial Engineering and Risk Management Specialization
 at 
Coursera 
Curriculum

Introduction to Financial Engineering and Risk Management

Term-Structure and Credit Derivatives

Optimization Methods in Asset Management

Advanced Topics in Derivative Pricing

Other courses offered by Coursera

– / –
3 months
Beginner
– / –
20 hours
Beginner
– / –
2 months
Beginner
– / –
3 months
Beginner
View Other 6719 CoursesRight Arrow Icon
qna

Financial Engineering and Risk Management Specialization
 at 
Coursera 

Student Forum

chatAnything you would want to ask experts?
Write here...