- Financial Trading
- Securities (Finance)
- Statistical Programming
- Portfolio Management
- Simulation and Simulation Software
- R (Software)
- Risk Analysis
- Probability Distribution
- Statistical Modeling
- Risk Management
- R Programming
- Financial Data
Financial Risk Management with R
Completed by Ignacio Manjon Mihalic
August 2, 2022
14 hours (approximately)
Ignacio Manjon Mihalic's account is verified. Coursera certifies their successful completion of Financial Risk Management with R
Skills you will gain

