Mathematical Methods for Quantitative Finance
About this Course
Modern finance is the science of decision making in an uncertain world, and its language is mathematics. As part of the MicroMasters® Program in Finance, this course develops the tools needed to describe financial markets, make predictions in the face of uncertainty, and find optimal solutions to business and investment decisions. This course will help anyone seeking to confidently model risky or uncertain outcomes. Its topics are essential knowledge for applying the theory of modern finance to real-world settings. Quants, traders, risk managers, investment managers, investment advisors, developers, and engineers will all be able to apply these tools and techniques.Created by: Massachusetts Institute of Technology
Level: Advanced
Related Online Courses
Designed for anyone writing their first academic research project, Academic English: How to Write a Research Paper guides you through the process of becoming an academic research writer into... more
How can countries foster strong economic growth while also sharing its benefits equitably across all segments of society and maintaining economic and environmental sustainability? In this course,... more
Health care in America can be complicated. Most Americans might not fully understand the basics of the U.S. health care system or health care policies such as the Affordable Care Act (ACA).... more
When you read the Declaration of Independence do you feel inspired? Do you question those words? Do you think about what this means today? Constitutional democracy is not just what was written on... more
Globally, an unprecedented 131 million people are affected by humanitarian crises worldwide. Children, who constitute just under half of the affected population, are particularly vulnerable in... more