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 Coursera - Financial Engineering and Risk Management Part II

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MensajeTema: Coursera - Financial Engineering and Risk Management Part II   Coursera - Financial Engineering and Risk Management  Part II EmptyLun Abr 27, 2020 9:58 am

Coursera - Financial Engineering and Risk Management  Part II 1f9486cf6dbddcd32fcc8004c195135a

Coursera - Financial Engineering and Risk Management Part II (Columbia University)
WEBRip | English | MP4 | 1280 x 720 | AVC ~54.2 kbps | 29.970 fps
AAC | 64 Kbps | 44.1 KHz | 2 channels | Subs: English (.srt) | ~15 hours | 744 MB
Genre: eLearning Video / Business, Finance
Financial Engineering is a multidisciplinary field involving finance and economics, mathematics, statistics, engineering and computational methods. The emphasis of FE & RM Part II will be on the use of simple stochastic models to (i) solve portfolio optimization problems (ii) price derivative securities in various asset classes including equities and credit and (iii) consider some advanced applications of financial engineering including algorithmic trading and the pricing of real options. We will also consider the role that financial engineering played during the financial crisis.

We hope that students who complete the course and the prerequisite course (FE & RM Part I) will have a good understanding of the "rocket science" behind financial engineering. But perhaps more importantly, we hope they will also understand the limitations of this theory in practice and why financial models should always be treated with a healthy degree of skepticism.

Syllabus

Mean-Variance Analysis and CAPM
-Problem formulation and solution; the efficient frontier; including the risk-free asset; the Capital Asset Pricing Model (CAPM);implications of CAPM: α, β, security and capital market lines

Practical Issues in Implementing Mean Variance
-Problems with mean-variance analysis; ETFs and leveraged ETFs; VaR and CVaR for asset allocation; survivorship bias, performance evaluation and other statistical pitfalls.

Equity Derivatives in Practice: Part I
-Problems with mean-variance analysis; ETFs and leveraged ETFs; VaR and CVaR for asset allocation; survivorship bias, performance evaluation and other statistical pitfalls.

Equity Derivatives in Practice: Part II
-More about Black-Scholes, the Greeks and delta-hedging; the volatility surface; pricing derivatives using the volatility surface; model calibration.

Credit Derivatives and Structured Products
-Mechanics and pricing of CDOs; exotic structured credit securities including CDO-squared's and CDO-cubed's. Risk management of these products and their role in the financial crisis.

Other Applications of Financial Engineering
-Real options; energy and commodities modeling; algorithmic trading.

Background Material

General
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Video
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Language : English

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Coursera - Financial Engineering and Risk Management  Part II 12f71fd894c342edc843adeda29fcf55

Coursera - Financial Engineering and Risk Management  Part II Fc971f441312c144de57dca0ffef5760
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