From Asset Management to Asset-Liability Management

Loading...
查看授课大纲

审阅

4.8(559 个评分)
  • 5 stars
    85.50%
  • 4 stars
    12.52%
  • 3 stars
    0.89%
  • 2 stars
    0.71%
  • 1 star
    0.35%
VC

Jul 17, 2020

very good introductory course to learn how python is used to implement portfolio strategies. coding is taught in a simple enough way to pick up and try to real-world data as well....

AG

May 05, 2020

The course was very informative and added a lot of learning and the instructors made navigating the whole syllabus very simple, even for a novice programmer and finance student

教学方

  • Vijay Vaidyanathan, PhD

    Vijay Vaidyanathan, PhD

    Optimal Asset Management Inc.
  • Lionel Martellini, PhD

    Lionel Martellini, PhD

    EDHEC-Risk Institute, Director

探索我们的目录

免费加入并获得个性化推荐、更新和优惠。