Columbia University
Financial Engineering and Risk Management Specialization
Columbia University

Financial Engineering and Risk Management Specialization

Advance Your Knowledge in Financial Engineering . Build the fundamentals and technical skills in financial engineering

Martin Haugh
Garud Iyengar
Ali Hirsa

Instructors: Martin Haugh

Sponsored by FutureX

28,639 already enrolled

Get in-depth knowledge of a subject
4.6

(326 reviews)

Intermediate level

Recommended experience

2 months
at 10 hours a week
Flexible schedule
Learn at your own pace
Get in-depth knowledge of a subject
4.6

(326 reviews)

Intermediate level

Recommended experience

2 months
at 10 hours a week
Flexible schedule
Learn at your own pace

What you'll learn

  • 1. Valuing options, swaps, forwards, futures, and other complex financial derivatives using stochastic models

  • 2. Develop a systematic, data-driven approach to formulating modeled returns and risks for significant asset classes and optimal portfolios

  • 3. Back test and implement trading models and signals in an active, live trading environment

Details to know

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Taught in English

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Advance your subject-matter expertise

  • Learn in-demand skills from university and industry experts
  • Master a subject or tool with hands-on projects
  • Develop a deep understanding of key concepts
  • Earn a career certificate from Columbia University
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Specialization - 5 course series

Introduction to Financial Engineering and Risk Management

Course 119 hours4.6 (254 ratings)

What you'll learn

Skills you'll gain

Category: Securities (Finance)
Category: Financial Market
Category: Capital Markets
Category: Mathematical Modeling
Category: Advanced Mathematics
Category: Applied Mathematics
Category: Financial Trading
Category: Statistical Modeling
Category: Investments
Category: Derivatives
Category: Probability
Category: Finance
Category: General Finance
Category: Financial Systems
Category: Financial Services
Category: Financial Management
Category: Portfolio Management
Category: Investment Management
Category: Financial Modeling
Category: Risk Modeling

Term-Structure and Credit Derivatives

Course 213 hours4.5 (56 ratings)

What you'll learn

Skills you'll gain

Category: Financial Market
Category: Securities (Finance)
Category: Derivatives
Category: Investments
Category: Capital Markets
Category: Financial Trading
Category: Lending and Underwriting
Category: Loans
Category: Credit Risk
Category: Consumer Lending
Category: Mortgage Loans
Category: Financial Modeling
Category: General Finance
Category: Finance
Category: Financial Services
Category: Financial Systems
Category: Investment Management
Category: Risk Modeling
Category: General Lending
Category: Mathematical Modeling

Optimization Methods in Asset Management

Course 314 hours4.7 (41 ratings)

What you'll learn

Skills you'll gain

Category: Capital Markets
Category: Financial Market
Category: Portfolio Management
Category: Finance
Category: General Finance
Category: Investment Management
Category: Investments
Category: Financial Systems
Category: Wealth Management
Category: Financial Analysis
Category: Financial Trading
Category: Financial Management
Category: Financial Services
Category: Risk Management Framework
Category: Market Liquidity
Category: Asset Management
Category: Risk Management
Category: Financial Modeling
Category: Financial Planning

Advanced Topics in Derivative Pricing

Course 416 hours4.4 (28 ratings)

What you'll learn

Skills you'll gain

Category: Financial Trading
Category: Securities (Finance)
Category: Investments
Category: Financial Market
Category: Derivatives
Category: Capital Markets
Category: Credit Risk
Category: Lending and Underwriting
Category: Risk Analysis
Category: Risk Management
Category: Finance
Category: Financial Systems
Category: Business Risk Management
Category: Portfolio Management
Category: General Finance
Category: Mathematical Modeling
Category: Enterprise Risk Management (ERM)
Category: Risk Modeling
Category: Investment Management
Category: Equities

Computational Methods in Pricing and Model Calibration

Course 524 hours4.2 (33 ratings)

What you'll learn

Skills you'll gain

Category: Securities (Finance)
Category: Financial Market
Category: Financial Trading
Category: Investments
Category: Derivatives
Category: Capital Markets
Category: Risk Modeling
Category: Mathematical Modeling
Category: Applied Mathematics
Category: Finance
Category: Analytics
Category: Mathematics and Mathematical Modeling
Category: General Finance
Category: Mathematical Theory & Analysis
Category: Financial Systems
Category: Regression Analysis
Category: Investment Management
Category: Numerical Analysis
Category: Python Programming
Category: Statistical Modeling

Instructors

Martin Haugh
Columbia University
7 Courses442,153 learners
Garud Iyengar
Columbia University
7 Courses442,153 learners

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