Search result for Master of science in quantitative finance Online Courses & Certifications
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Financial Derivatives: A Quantitative Finance View
by Cameron Connell- 4.5
27 hours on-demand video
Are you a quantitative professional working in finance or a technical field and want to bridge the gap and become a full on quant? If you succeed in this course you will become a master of quantitative finance and the financial engineering of the most influential class of financial products that exist on markets today: derivatives....
$19.99
Quantitative Investment Analysis in Excel (Template Incl.)
by Daniel Davis- 3.1
1.5 hours on-demand video
Have you ever heard of Quantitative Investing? This course will take you through the process of building a quantitative investment model in Excel. Quantitative finance is all about making investing more of a science and less of an art. If you are interesting in learning how to make trades with 80%-90% success rates, this course is for you....
$12.99
Data science for algorithmic trading
by Data World- 1
3 hours on-demand video
It’s with pride that I offer this data science course for algorithmic trading. It is the fruit of several years of work in the field in order to truly understand all the subtleties of the world of quantitative finance. Using libraries will allow you to do complex mathematical calculations applied to finance in just a few lines of code....
$12.99
Time Series Analysis and Forecasting Using Python in 2020
by Arpan Gupta- 0.0
4.5 hours on-demand video
Is this one of your needs? This course will teach you the practical skills that would allow you to land a job as a quantitative finance analyst, a data analyst or a data scientist. People interested in quantitative finance. Finance graduates and professionals who need to better apply their knowledge in Python....
$12.99
FRM Part 2 - Book 1 - Market Risk (Part 2/2)
by Analyst Prep- 0.0
3.5 hours on-demand video
Master of Science in Finance PhD in Finance (minor in Economics, two PhD level courses in Econometrics) James Forgan, PhD, summarizes the last 7 chapters from the Market Risk Measurement and Management book so you can learn or review all of the important concepts for your FRM part 2 exam. The Science of Term Structure Models...
$12.99
Volatility Trading Via Quantitative Modeling In Excel
by AllQuant- 4.4
5 hours on-demand video
Master The Principles of Trading Volatility During Calm Markets and Potentially Act as a Hedge During Crisis Periods Master an established quantitative method used in hedge funds called Volatility Risk Premium to trade volatility Master an alternative way to trade pure volatility component of S&P 500 options Master the science and art of harvesting volatility risk premium using volatility ETFs...
$12.99
Unsupervised Learning with Python: Step-by-Step Tutorial!
by Packt Publishing- 2.8
7.5 hours on-demand video
By the end of the course, you’ll apply clustering and dimensionality reduction in Machine Learning using Python as well as Master Unsupervised Learning to solve real-world problems! He holds master degrees in quantitative economics and finance from Harvard University and Free University Berlin and is a CFA charter holder. Benefits of Unsupervised Learning...
$12.99
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Learn By Example: Statistics and Data Science in R
by Loony Corn- 3.8
9 hours on-demand video
This team has decades of practical experience in quant trading, analytics and e-commerce. Real life examples: Every concept is explained with the help of examples, case studies and source code in R wherever necessary. The examples cover a wide array of topics and range from A/B testing in an Internet company context to the Capital Asset Pricing Model in a quant finance context....
$12.99
FRM Part 2 - Book 2 - Credit Risk (Part 1/2)
by Analyst Prep- 4.1
7 hours on-demand video
Master of Science in Finance PhD in Finance (minor in Economics, two PhD level courses in Econometrics) James Forgan, PhD, summarizes the first 9 chapters from the Credit Risk book so you can learn or review all of the important concepts for your FRM part 2 exam. Capital Structure in Banks...
$12.99
FRM Part 2 - Book 1 - Market Risk (Part 1/2)
by Analyst Prep- 4.7
5 hours on-demand video
James Forjan has taught graduate and post-graduate finance classes for over 25 years and has also co-authored college-level investment books. BS in Accounting Master of Science in Finance PhD in Finance (minor in Economics, two PhD level courses in Econometrics) Empirical Properties of Correlation: How Do Correlations Behave in the Real World?...
$12.99