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Quantitative Finance & Risk Analytics

About

This program introduces the fundamentals of quantitative finance and risk analytics. Participants will learn how to build and backtest trading strategies, perform portfolio risk analysis (VaR, stress testing, factor exposures), and apply machine learning models to financial data. By the end, you will have hands-on experience with both statistical techniques and real-world datasets, preparing you for careers in quantitative research, trading, or financial engineering.

You can also join this program via the mobile app. Go to the app

Price

$180.00

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