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Financial Engineering and Risk Management

Martin Haugh, Garud Iyengar Columbia University @Coursera
Class Start: not available
Duration: 10 weeks
Approximate Workload: 8-10 hours/week
Certificate: Yes
Level: advanced
Rate this class Class is not available
This course is an introduction to the theory and practice of financial engineering and risk management. We consider the pricing of derivatives, portfolio optimization and risk management and cast a critical eye on how these are used in practice.
Categories: [Finance and Economics]

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Anonymous (Singapore, Singapore) , 2014-02-28
Unbelievable! The learning experience from these courses for personal or professional reasons is unmatched. That said, ensure you have the advertised necessary background before you embark on them; otherwise you will run into trouble. The material in Financial Engineering and Risk Management, Parts I and II, is very challenging to say the least, but this is eclipsed by what you will learn by it's emphasis on both the theoretical and 'practical aspects' of Financial Engineering and Risk Management.

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Han-Lieh Wu (Taipei) , 2014-01-21
great material to learn FE

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Anonymous (Singapore, Singapore) , 2013-12-12
Demanding and intellectually challenging

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Anonymous (Singapore, Singapore) , 2013-08-26

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