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  • Skills you'll gain: Derivatives, Financial Market, Securities (Finance), Finance, Risk Modeling, Mathematical Modeling, Financial Modeling, Risk Management, Probability, Advanced Mathematics, Differential Equations, Applied Mathematics, Calculus

  • Skills you'll gain: Regression Analysis, Derivatives, Financial Market, Statistical Methods, Market Data, Financial Modeling, Securities (Finance), Mathematical Modeling, Numerical Analysis, Equities, Model Optimization, Python Programming, Algorithms, Case Studies

  • Skills you'll gain: Derivatives, Financial Trading, Financial Market, Securities Trading, Market Dynamics, Investments, Equities, Risk Analysis, Credit Risk, Financial Modeling, Finance, Risk Management, Mathematical Modeling

  • Università di Napoli Federico II

    Skills you'll gain: Derivatives, Financial Market, Securities (Finance), Investments, Futures Exchange, Risk Modeling, Financial Modeling, Portfolio Management, Numerical Analysis, Simulations, Markov Model, Mathematical Modeling, Simulation and Simulation Software, Probability, Probability Distribution

  • Skills you'll gain: Derivatives, Credit Risk, Securities (Finance), Financial Market, Portfolio Risk, Capital Markets, Risk Modeling, Risk Management, Portfolio Management, Financial Modeling, Mathematical Modeling, Probability Distribution, Computer Programming

  • Skills you'll gain: Derivatives, Financial Trading, Financial Market, Risk Modeling, Risk Management, Portfolio Risk, Futures Exchange, Securities Trading, Capital Markets, Securities (Finance), Financial Systems, Hedge Accounting, Financial Modeling, Market Dynamics, Finance, Mathematical Modeling

What brings you to Coursera today?

  • École Polytechnique Fédérale de Lausanne

    Skills you'll gain: Portfolio Risk, Derivatives, Financial Market, Risk Modeling, Securities (Finance), Futures Exchange, Risk Management, Investments, Financial Modeling, Market Data, Portfolio Management, Mathematical Modeling, Finance, Probability, Statistical Modeling, Estimation, Applied Mathematics

  • Skills you'll gain: Risk Modeling, Credit Risk, Operational Risk, Derivatives, Risk Analysis, Risk Management Framework, Financial Market, Risk Management, Financial Modeling, Securities (Finance), Probability, Probability Distribution

  • Università di Napoli Federico II

    Skills you'll gain: Securities (Finance), Portfolio Management, Equities, Investments, Financial Market, Finance, Portfolio Risk, Investment Management, Risk Modeling, Capital Markets, Statistical Methods, Market Data, Risk Analysis, Regression Analysis, Time Series Analysis and Forecasting, Risk Management

  • Skills you'll gain: Reinforcement Learning, Financial Trading, Financial Market, Derivatives, Markov Model, Machine Learning Methods, Financial Modeling, Securities Trading, Portfolio Management, Risk Management, Model Optimization, Market Dynamics

  • Skills you'll gain: Derivatives, Financial Trading, Market Opportunities, Financial Market, Market Trend, Market Dynamics, Market Analysis, Trend Analysis, Forecasting

  • Skills you'll gain: Financial Modeling, Competitive Analysis, Business Valuation, Feasibility Studies, Project Finance, Investment Banking, Financial Analysis, Mergers & Acquisitions, Financial Forecasting, Capital Budgeting, Benchmarking, Risk Analysis, Waterfall Methodology, Excel Formulas, Cash Flows, Microsoft Excel, Cash Flow Forecasting, Finance, Business Analysis, Technical Analysis