Modern finance is the science of decision making in an uncertain world, and its language is mathematics. As part of the MicroMasters® Program in Finance, this course develops the tools needed to describe financial markets, make predictions in the face of uncertainty, and find optimal solutions to business and investment decisions.

This course will help anyone seeking to confidently model risky or uncertain outcomes. Its topics are essential knowledge for applying the theory of modern finance to real-world settings. Quants, traders, risk managers, investment managers, investment advisors, developers, and engineers will all be able to apply these tools and techniques.

Instructors
Paul F. Mende
Egor Matveyev
Course Image
Mathematical Methods for Quantitative Finance
Course ID
15.455x
Verified
Yes
Self Paced
Yes
Course Department
Course Availability
Course Dates
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