- Level Professional
- Course by Columbia University
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Offered by
About
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.Auto Summary
The "Financial Engineering and Risk Management" course is designed for individuals aiming to excel in quantitative finance. Offered by Coursera, this professional-level specialization consists of five comprehensive courses focusing on key areas such as derivative pricing, asset allocation, portfolio optimization, real options, commodity and energy derivatives, and algorithmic trading. These topics equip learners with the essential skills to tackle financial engineering challenges in both academic and industry settings. The course is available through a Starter subscription, providing flexibility for aspiring professionals and learners to enhance their expertise in business and management.

Garud Iyengar

Ali Hirsa
Martin Haugh