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58 results for "financial risk modeling"
New York Institute of Finance
Skills you'll gain: Leadership and Management, Probability & Statistics, Risk Management, Statistical Tests, Finance, Financial Analysis, General Statistics, Probability Distribution, Data Analysis, Statistical Analysis
Columbia University
Skills you'll gain: Finance
Coursera Project Network
Columbia University
Skills you'll gain: Finance, Risk Management, Computer Programming
University of Maryland, College Park
Skills you'll gain: Entrepreneurship, Leadership and Management, Marketing, Sales, Strategy, Strategy and Operations, Decision Making, Market Analysis, Planning, Research and Design
Università di Napoli Federico II
Fundação Instituto de Administração
Skills you'll gain: Finance
Rice University
Skills you'll gain: Accounting, Business Analysis, Data Analysis, Finance, Financial Analysis, Financial Management, Financial Accounting, Investment Management, Budget Management
University of Pennsylvania
Skills you'll gain: Data Analysis, Forecasting, General Statistics, Microsoft Excel, Spreadsheet Software, Statistical Analysis, Basic Descriptive Statistics, Business Analysis, Statistical Tests, Data Model, Computer Programming
Erasmus University Rotterdam
Skills you'll gain: Business Analysis, Data Analysis, Microsoft Excel, Spreadsheet Software
University of Michigan
University of Pennsylvania
Skills you'll gain: Business Analysis, Data Analysis, Finance, General Statistics, Probability & Statistics, Financial Analysis, Statistical Analysis, Forecasting, Mathematics, Spreadsheet Software, Statistical Tests, Data Model, Basic Descriptive Statistics, Mathematical Theory & Analysis, Risk Management, Correlation And Dependence, Probability Distribution, Decision Making, Investment Management, Accounting, Leadership and Management, Regression, Financial Accounting, Microsoft Excel, Performance Management, Cash Management, General Accounting, Computer Programming
In summary, here are 10 of our most popular financial risk modeling courses
- Market Risk Management: Frameworks & Strategies:Â New York Institute of Finance
- Term-Structure and Credit Derivatives:Â Columbia University
- Portfolio Optimization using Markowitz Model:Â Coursera Project Network
- Advanced Topics in Derivative Pricing:Â Columbia University
- Developing Innovative Ideas for New Companies: The First Step in Entrepreneurship:Â University of Maryland, College Park
- Market Microstructure: Università di Napoli Federico II
- Valuation & Strategic Finance: Fundação Instituto de Administração
- Finance for Non-Finance Professionals:Â Rice University
- Introduction to Spreadsheets and Models:Â University of Pennsylvania
- Excel Modeling for Professionals: Best Practices & Pitfalls:Â Erasmus University Rotterdam