Navigate financial markets, make forecasts, and maximize business and investment decisions, modern finance mostly depends on mathematical techniques. Your path to becoming proficient with these tools begins with this course, which will enable you to simulate uncertain or dangerous outcomes in real-world circumstances confidently.
Throughout the course, you’ll explore:
Key Learning Points |
Investment Management |
Learn Monte Carlo Simulation |
How to Forecast Investment |
Statistics and Probability |
Basics of Applied Computational Technique |
Perks of the Course | |
Full Lifetime Access | Access on mobile and TV |
Certification of Completion | Course Material |
Assignments | 12 Weeks, 10-14 hours per week |