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  • Mathematical Finance

Mathematical Finance Courses

Mathematical finance courses can help you learn financial modeling, risk assessment, portfolio optimization, and pricing of financial derivatives. You can build skills in quantitative analysis, statistical methods, and using stochastic processes to evaluate investment strategies. Many courses introduce tools like Excel for financial calculations, Python for data analysis, and software for simulations, allowing you to apply these skills in real-world financial contexts.


Popular Mathematical Finance Courses and Certifications


  • Status: Free Trial
    Free Trial
    M

    McMaster University

    Finance for Everyone: Markets

    Skills you'll gain: Financial Market, Capital Markets, Derivatives, Equities, Financial Policy, Finance, International Finance, Investments, Market Dynamics, Market Trend, Financial Regulation, Market Analysis, Presentations

    4.7
    Rating, 4.7 out of 5 stars
    ·
    413 reviews

    Beginner · Course · 1 - 4 Weeks

  • Status: Preview
    Preview
    D

    Duke University

    Behavioral Finance

    Skills you'll gain: Behavioral Economics, Decision Making, Financial Planning, Finance, Consumer Behaviour, Financial Analysis, Economics, Psychology, Probability & Statistics, Risk Analysis

    4.4
    Rating, 4.4 out of 5 stars
    ·
    4.5K reviews

    Beginner · Course · 1 - 4 Weeks

  • C

    Coursera

    Python for Finance: Beta and Capital Asset Pricing Model

    Skills you'll gain: Portfolio Management, Plotly, Data Visualization, Investment Management, Financial Analysis, Statistical Analysis, Financial Data, Risk Modeling, Market Data, Finance, Equities, Data Analysis, Pandas (Python Package), Python Programming

    4.6
    Rating, 4.6 out of 5 stars
    ·
    47 reviews

    Beginner · Guided Project · Less Than 2 Hours

  • Status: Free Trial
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    E

    EDHEC Business School

    Advanced Portfolio Construction and Analysis with Python

    Skills you'll gain: Portfolio Management, Investment Management, Financial Modeling, Financial Analysis, Estimation, Statistical Methods, Python Programming, Regression Analysis, Risk Analysis, Risk Management

    4.7
    Rating, 4.7 out of 5 stars
    ·
    510 reviews

    Intermediate · Course · 1 - 4 Weeks

  • Status: Free Trial
    Free Trial
    U

    Università di Napoli Federico II

    Asset Pricing Fundamentals

    Skills you'll gain: Financial Market, Portfolio Management, Investments, Equities, Capital Markets, Finance, Risk Analysis, Economics, Risk Management, Probability Distribution, Decision Making

    Intermediate · Course · 1 - 3 Months

  • Status: Free Trial
    Free Trial
    E

    EDHEC Business School

    Python and Machine-Learning for Asset Management with Alternative Data Sets

    Skills you'll gain: Text Mining, Applied Machine Learning, Network Analysis, Data Visualization Software, Financial Data, Market Data, Unstructured Data, Web Scraping, Social Network Analysis, Advanced Analytics, Financial Market, Financial Analysis, Investments, Data Mining, Asset Management, Python Programming, Predictive Analytics, Data Analysis, Risk Analysis, Consumer Behaviour

    4.4
    Rating, 4.4 out of 5 stars
    ·
    236 reviews

    Intermediate · Course · 1 - 4 Weeks

  • Status: Free Trial
    Free Trial
    U

    Università di Napoli Federico II

    Asset Pricing Models

    Skills you'll gain: Securities (Finance), Portfolio Management, Equities, Investments, Financial Market, Finance, Fixed Asset, Investment Management, Risk Modeling, Derivatives, Asset Management, Capital Markets, Statistical Methods, Return On Investment, Risk Analysis, Regression Analysis, Time Series Analysis and Forecasting, Estimation, Statistical Hypothesis Testing

    Intermediate · Course · 1 - 3 Months

  • Status: Free Trial
    Free Trial
    E

    EDHEC Business School

    Python and Machine Learning for Asset Management

    Skills you'll gain: Investment Management, Portfolio Management, Asset Management, Machine Learning, Applied Machine Learning, Financial Modeling, Supervised Learning, Predictive Modeling, Risk Management, Feature Engineering, Unsupervised Learning, Regression Analysis, Statistical Methods, Computer Science, Dimensionality Reduction

    3.1
    Rating, 3.1 out of 5 stars
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    332 reviews

    Intermediate · Course · 1 - 3 Months

  • Status: Preview
    Preview
    S

    Sungkyunkwan University

    The Fundamental of Data-Driven Investment

    Skills you'll gain: Portfolio Management, Investment Management, Performance Analysis, R Programming, Time Series Analysis and Forecasting, Risk Analysis, Financial Analysis, Financial Modeling, Statistical Programming, Equities, Regression Analysis, Data Manipulation, Data Visualization

    4.4
    Rating, 4.4 out of 5 stars
    ·
    7 reviews

    Beginner · Course · 1 - 4 Weeks

  • Status: New
    New
    Status: Preview
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    E

    EDUCBA

    Fixed Income Securities: Analyze, Value & Apply

    Skills you'll gain: Securities (Finance), Financial Analysis, Financial Market, Finance, Investments, Credit Risk, Portfolio Management, Analysis, Cash Flows, Risk Analysis, Market Dynamics

    Mixed · Course · 1 - 4 Weeks

  • Status: Preview
    Preview
    S

    Sungkyunkwan University

    Using R for Regression and Machine Learning in Investment

    Skills you'll gain: Regression Analysis, Predictive Modeling, Investment Management, Risk Analysis, Investments, R Programming, Statistical Methods, Machine Learning, Statistical Analysis, Financial Analysis, Time Series Analysis and Forecasting, Supervised Learning, Financial Data

    4.8
    Rating, 4.8 out of 5 stars
    ·
    6 reviews

    Intermediate · Course · 1 - 4 Weeks

  • Status: Free Trial
    Free Trial
    N

    New York University

    Overview of Advanced Methods of Reinforcement Learning in Finance

    Skills you'll gain: Reinforcement Learning, Market Dynamics, Risk Modeling, Financial Modeling, Technical Analysis, Artificial Intelligence and Machine Learning (AI/ML), Applied Machine Learning, Physics, Probability & Statistics

    3.8
    Rating, 3.8 out of 5 stars
    ·
    85 reviews

    Advanced · Course · 1 - 4 Weeks

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In summary, here are 10 of our most popular mathematical finance courses

  • Finance for Everyone: Markets: McMaster University
  • Behavioral Finance: Duke University
  • Python for Finance: Beta and Capital Asset Pricing Model: Coursera
  • Advanced Portfolio Construction and Analysis with Python: EDHEC Business School
  • Asset Pricing Fundamentals: Università di Napoli Federico II
  • Python and Machine-Learning for Asset Management with Alternative Data Sets: EDHEC Business School
  • Asset Pricing Models: Università di Napoli Federico II
  • Python and Machine Learning for Asset Management : EDHEC Business School
  • The Fundamental of Data-Driven Investment: Sungkyunkwan University
  • Fixed Income Securities: Analyze, Value & Apply: EDUCBA

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