Course Description

This course, offered by Columbia University, provides a comprehensive introduction to the field of financial engineering and risk management. With a rating of 4.6 stars and over 190 reviews, it is highly regarded by students and professionals alike. Through this course, you will gain valuable skills in finance, mathematics, probability and statistics, risk management, securities sales, and securities trading. Designed for intermediate level learners, this course is suitable for individuals looking to enhance their knowledge and understanding of financial engineering and risk management. It can also benefit those looking to enter the field or advance their career in this industry. Over the course of 1-3 months, you will explore various topics such as financial markets, financial instruments, portfolio management, risk management techniques, and more. You will also have the opportunity to apply your newly acquired skills through practical exercises and case studies. By the end of this course, you will have a solid understanding of financial engineering and risk management principles, and be equipped with the necessary skills