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Results for "value+at+risk+(var)"
University of Michigan
Skills you'll gain: Decision Making, Finance, Financial Analysis, Financial Management, Microsoft Excel, Planning, Problem Solving
- Status: Free
University of London
Skills you'll gain: General Statistics, Probability & Statistics, Probability Distribution, Basic Descriptive Statistics, Statistical Analysis, Statistical Tests, Decision Making, Estimation, Data Analysis
Columbia University
Skills you'll gain: Finance, Leadership and Management, Investment Management, Probability & Statistics, Risk Management
New York Institute of Finance
Skills you'll gain: Leadership and Management, Probability & Statistics, Risk Management, Statistical Tests, Finance, Financial Analysis, General Statistics, Probability Distribution, Data Analysis, Statistical Analysis
University of Geneva
Skills you'll gain: Correlation And Dependence, Finance, Investment Management, Leadership and Management, Market Analysis, Risk Management, Financial Analysis, Financial Management, Probability & Statistics, Statistical Analysis
Columbia University
Skills you'll gain: Finance, Risk Management, Securities Sales, Securities Trading
Coursera Project Network
Skills you'll gain: Accounting, Finance
- Status: Free
University of Pennsylvania
Skills you'll gain: Mathematics, Calculus, Mathematical Theory & Analysis, Differential Equations, Problem Solving
New York Institute of Finance
Skills you'll gain: Leadership and Management, Operations Management, Risk Management, Strategy and Operations, Business Process Management, Strategy, Business Analysis, Operational Analysis, Finance, Probability & Statistics
- Status: Free
Universiteit Leiden
Skills you'll gain: Leadership and Management, Risk Management
Coursera Project Network
Skills you'll gain: Data Analysis, Data Visualization, Financial Analysis, Python Programming
Interactive Brokers
Skills you'll gain: Finance, Investment Management, Securities Trading, Strategy, Strategy and Operations, Financial Analysis, Leadership and Management, Risk Management, Market Analysis, Financial Management
In summary, here are 10 of our most popular value+at+risk+(var) courses
- Introduction to Time Value of Money (TVM):Â University of Michigan
- Probability and Statistics: To p or not to p?:Â University of London
- Optimization Methods in Asset Management:Â Columbia University
- Market Risk Management: Frameworks & Strategies:Â New York Institute of Finance
- Portfolio and Risk Management:Â University of Geneva
- Introduction to Financial Engineering and Risk Management:Â Columbia University
- Profit Analysis using Economic Value Added:Â Coursera Project Network
- Single Variable Calculus:Â University of Pennsylvania
- Operational Risk Management: Frameworks & Strategies:Â New York Institute of Finance
- Risk in Modern Society :Â Universiteit Leiden