This online course program explores the fundamentals and technical skills in financial engineering. It includes valuing options, swaps, forwards, futures, and other complex financial derivatives using stochastic models. It also develops a systematic, data-driven approach to formulating modeled returns and risks for significant asset classes and optimal portfolios. Some prior knowledge of Excel and statistics is required.
Instructor: | Professor Garud Iyengar |
Provided by: | Coursera |
Course language: | English |
Fees: | Yes (see course website) |
Level: | intermediate |
Certificate available? | (fee) |
Format: | course series |
How do you like the course 'Financial Engineering and Risk Management Specialization'?