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Corporate Finance Institute
Skills you'll gain: Environmental Social And Corporate Governance (ESG), Financial Statement Analysis, Annual Reports, Mergers & Acquisitions, Income Statement, Financial Analysis, Business Valuation, Banking Services, Credit Risk, Loans, Financial Statements, Banking, Capital Markets, Enterprise Risk Management (ERM), Risk Management Framework, Financial Trading, Corporate Sustainability, Financial Market, Wealth Management, Financial Services
Columbia University
Skills you'll gain: Portfolio Management, Derivatives, Financial Market, Securities (Finance), Investment Management, Asset Management, Credit Risk, Mortgage Loans, Mathematical Modeling, Applied Mathematics, Capital Markets, Financial Modeling, Securities Trading, Regression Analysis, Market Liquidity, Futures Exchange, Risk Management, Equities, Finance, Market Data
- Status: Free
The Hong Kong University of Science and Technology
Skills you'll gain: Statistical Inference, Statistical Methods, Pandas (Python Package), Probability & Statistics, Risk Analysis, Statistics, Financial Trading, Financial Data, Data Manipulation, Statistical Analysis, Regression Analysis, Financial Analysis, Jupyter, Financial Modeling, Python Programming, Data Import/Export
- Status: Free
Coursera Instructor Network
Skills you'll gain: Revenue Forecasting, Financial Modeling, Financial Forecasting, Real Estate, Forecasting, Cash Flow Forecasting, Commercial Real Estate, Risk Management, Property and Real Estate, Advanced Analytics, Investment Management, Portfolio Management, Risk Analysis, Investments, Expense Management
Columbia University
Skills you'll gain: International Finance, Derivatives, Financial Systems, Balance Sheet, Financial Market, Payment Systems, Banking, Capital Markets, Financial Trading, Economics, Market Liquidity, Financial Regulation, Finance, Credit Risk
Coursera Project Network
Skills you'll gain: Portfolio Management, Financial Modeling, Correlation Analysis, Investment Management, Financial Analysis, Mathematical Modeling, Risk Modeling, Equities, Variance Analysis
Indian School of Business
Skills you'll gain: Portfolio Management, Investment Management, Performance Analysis, Market Trend, Market Dynamics, Text Mining, Asset Management, Technical Analysis, Risk Management, Financial Regulation, Compliance Management, Risk Analysis, Benchmarking
Coursera Project Network
Skills you'll gain: Portfolio Management, Risk Management, Investment Management, Financial Market, Financial Modeling, Investments, Correlation Analysis, Market Data, Analysis
- Status: Free
Duke University
Skills you'll gain: Behavioral Economics, Decision Making, Financial Planning, Finance, Consumer Behaviour, Financial Market, Financial Analysis, Economics, Probability & Statistics, Risk Analysis
EDHEC Business School
Skills you'll gain: Investment Management, Portfolio Management, Text Mining, Asset Management, Network Analysis, Data Visualization Software, Investments, Machine Learning Methods, Unstructured Data, Predictive Modeling, Web Scraping, Financial Management, Machine Learning, Financial Statements, Applied Machine Learning, Financial Market, Financial Modeling, Risk Analysis, Python Programming, Financial Analysis
Indian School of Business
Skills you'll gain: Financial Trading, Accruals, Performance Measurement, Technical Analysis, Market Trend, Performance Metric, Transaction Processing, Backlogs, Risk Management, Market Analysis
University of Florida
Skills you'll gain: Financial Planning, Risk Management, Financial Statements, Investments, Insurance, Cash Management, Income Tax, Financial Management, Credit Risk, Portfolio Management, Budgeting, Expense Management, Tax, Personal Development, Goal Setting
In summary, here are 10 of our most popular forex+hedging courses
- Preparatory Certificate in Finance and Financial Markets: Corporate Finance Institute
- Financial Engineering and Risk Management: Columbia University
- Python and Statistics for Financial Analysis: The Hong Kong University of Science and Technology
- Real Estate Financial Modeling: Coursera Instructor Network
- Economics of Money and Banking: Columbia University
- Portfolio Optimization using Markowitz Model: Coursera Project Network
- Creating a Portfolio : Indian School of Business
- Portfolio Diversification using Correlation Matrix: Coursera Project Network
- Behavioral Finance: Duke University
- Investment Management with Python and Machine Learning: EDHEC Business School