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Вернуться к Разработка новых финансовых инструментов и управление рисками, часть II

Отзывы учащихся о курсе Разработка новых финансовых инструментов и управление рисками, часть II от партнера Колумбийский университет

4.7
звезд
Оценки: 614
Рецензии: 104

О курсе

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....

Лучшие рецензии

SY

Jun 08, 2019

I really enjoyed this course and learned a lot. The quizzes were challenging but really forced me to think through the problems. The forums were very helpful when I got stuck. Thanks Professors!

TR

Aug 31, 2020

Great course. It is very useful to get into Financial Engineering Topics. The tests are not easy, so every week presents a challenge that forces you to deeply understand what is being taught.

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51–75 из 98 отзывов о курсе Разработка новых финансовых инструментов и управление рисками, часть II

автор: Donald M

Dec 30, 2015

really good lecture ! support it !

автор: David P

Mar 19, 2020

Very nice course. Well explained.

автор: Simon K

Feb 01, 2019

Challengin and iteresting course.

автор: misheck M G

Aug 30, 2020

tough course but worth acquiring

автор: HP F

May 30, 2017

Very good introductory course!

автор: Chi Z

Jan 22, 2019

Excellent but challenging

автор: Andrea

Jun 27, 2016

Great, excellent, super !

автор: Maxim K

May 29, 2016

Great course! Thank you!)

автор: Zongrui H

Jan 12, 2020

mathematical and useful

автор: 严晓琦

Jun 19, 2017

challenging and useful

автор: Ishmeet S

May 07, 2018

Tough but good!

автор: Pham V T

May 22, 2017

Very good. :P

автор: Brian W

Dec 01, 2016

Great course!

автор: Roberto p g j

May 06, 2017

Very good

автор: oscar

Dec 17, 2015

Excellent

автор: Asier L O

Nov 23, 2015

Wonderful

автор: KarenAleyda

Apr 08, 2020

Muy bien

автор: Jie C

Mar 07, 2017

Great!

автор: Jhon A A C

May 22, 2017

Good

автор: Vincent L

Jan 29, 2018

very informative, difficult, and covers all the major topics. It's a bit brief in some areas, but I wouldn't want to do it all in one module. I don't see how Hull is follow-up material. We covered theory, options and fixed income applications more in-depth but some of the practical, industry-specific content is not present in the Hull book.

автор: Surjeet R

Aug 13, 2020

Excellent course for finance & Risk professionals. Both professors are excellent, it was a pleasure to learn. I would request for part 3 where they can cover more concepts in market and counter party credit risk (this will complete the risk management aspect).

All in all a great course!!!.

автор: Ibrahim B

Nov 10, 2019

I think material and teaching is very good, but the lack of instructions on the quizzes makes it a 4/5 course rather than a 5/5. I understand that the quizzes are meant to be challenging, but some questions were written very poorly and could easily be misinterpreted

автор: rajat c

Aug 09, 2020

The content of the course is really useful, the explanation is always nice. The assignments are good but the questions are not clearly specified. The language of the questions and the instructions before the quiz should be improved.

автор: Yufei S

Jun 28, 2016

Very similar style with Part I. The instructors are clear in explaining the models. However, it would be more useful if the instructors can give several real-world examples on the financial market.

автор: QUOC T P

Dec 17, 2016

This course is amazing

However, I do not give full score for it because it lack of some quizzes. I do expect we study more since there are many thing left behind.