MP4 | Video: AVC 1920×1080 | Audio: AAC 48KHz 2ch | Duration: 3 Hours 20M | 929 MBGenre: eLearning | Language: EnglishWith the ever-changing financial environment in the global market, investment banks, hedge funds, and private equity firms are always on the lookout for professionals able to identify profitable investment opportunities and manage risk.
If you are interested in Quantitative Finance, especially in modern portfolio theory and risk management, then this is the perfect course for you.
Solving complex quantitative finance tasks becomes much easier with hands-on coding implementations.
This course mixes important theoretical steps in a practical way to enhance your financial IQ in your day-to-day activities.
By the end of the course, you’ll be comfortable using R and its associated libraries to solve any problem associated with Quantitative Finance without getting stressed; in short, you’ll be solving the complex challenges that portfolio and risk managers face every day.