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Financial Engineering and Risk Management Part II

This course follows on from FE & RM Part I. We will consider portfolio optimization, risk management and some advanced examples of derivatives pricing that draw from structured credit, real options and energy derivatives. We will also cast a critical eye on how financial models are used in practice.

Start Date: Jan 01, 2014 Topics: General Engineering

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Financial Engineering and Risk Management Part II's Full Profile

Overview

Description

This course is part II of an introduction to the theory and practice of financial engineering and risk management. The course focused on portfolio optimization and the CAPM as well as the mechanics and pricing of derivative securities in various asset classes.

Details

  • Dates: Jan 01, 2014 to Feb 01, 2014
  • Level of Difficulty: Beginner
  • Size: Massive Open Online Course
  • Institution: Coursera
  • Topics: General Engineering

Provider Overview

About Coursera: Coursera is an education company that partners with the top universities and organizations in the world to offer courses online for anyone to take, for free.

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