Financial Engineering and Risk Management

Coursera MOOC / Non-credit USD 79
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Financial Engineering and Risk Management

About this course

This specialization is intended for aspiring learners and professionals seeking to hone their skills in the quantitative finance area. Through a series of 5 courses, we will cover derivative pricing, asset allocation, portfolio optimization as well as other applications of financial engineering such as real options, commodity and energy derivatives and algorithmic trading. Those financial engineering topics will prepare you well for resolving related problems, both in the academic and industrial worlds.

What you'll learn

  • understand derivative pricing
  • perform asset allocation
  • optimize portfolios
  • apply financial engineering in real-world scenarios
  • analyze commodity and energy derivatives
  • explore algorithmic trading

Skills you'll gain

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