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    • Mathematical Finance

    Mathematical Finance Courses Online

    Master mathematical finance for financial modeling and risk management. Learn to apply mathematical methods to solve problems in finance.

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    Explore the Mathematical Finance Course Catalog

    • Status: Free Trial
      Free Trial
      N

      New York Institute of Finance

      Using Machine Learning in Trading and Finance

      Skills you'll gain: Tensorflow, Keras (Neural Network Library), Financial Trading, Data Pipelines, Applied Machine Learning, Technical Analysis, Machine Learning, Securities Trading, Market Trend, Financial Market, Deep Learning, Python Programming, Predictive Modeling, Performance Metric

      3.9
      Rating, 3.9 out of 5 stars
      ·
      375 reviews

      Intermediate · Course · 1 - 3 Months

    • Status: Preview
      Preview
      U

      University of Illinois Urbana-Champaign

      Introduction to Finance: The Role of Financial Markets

      Skills you'll gain: Financial Market, Capital Budgeting, Capital Markets, Finance, Securities (Finance), Financial Management, Resource Allocation, Investments, Financial Analysis, Equities, Return On Investment, Cash Flows, Risk Management, Risk Analysis

      Build toward a degree

      4.6
      Rating, 4.6 out of 5 stars
      ·
      80 reviews

      Beginner · Course · 1 - 3 Months

    • Status: Free Trial
      Free Trial
      N

      New York Institute of Finance

      Reinforcement Learning for Trading Strategies

      Skills you'll gain: Reinforcement Learning, Financial Trading, Deep Learning, Portfolio Management, Artificial Intelligence and Machine Learning (AI/ML), Artificial Neural Networks, Applied Machine Learning, Markov Model, Machine Learning, Financial Market, Time Series Analysis and Forecasting

      3.5
      Rating, 3.5 out of 5 stars
      ·
      243 reviews

      Intermediate · Course · 1 - 4 Weeks

    • Status: Free Trial
      Free Trial
      N

      New York University

      Fundamentals of Machine Learning in Finance

      Skills you'll gain: Supervised Learning, Dimensionality Reduction, Unsupervised Learning, Applied Machine Learning, Decision Tree Learning, Machine Learning, Financial Trading, Financial Market, Reinforcement Learning, Scikit Learn (Machine Learning Library), Financial Services, Regression Analysis, Correlation Analysis, Exploratory Data Analysis, Portfolio Management, Python Programming, Artificial Neural Networks, Jupyter

      3.7
      Rating, 3.7 out of 5 stars
      ·
      339 reviews

      Intermediate · Course · 1 - 4 Weeks

    • Status: Free Trial
      Free Trial
      C

      Columbia University

      Advanced Topics in Derivative Pricing

      Skills you'll gain: Derivatives, Credit Risk, Financial Market, Capital Markets, Futures Exchange, Equities, Risk Analysis, Risk Management, Market Dynamics, Portfolio Management, Financial Modeling, Mathematical Modeling, Probability Distribution, Computer Programming

      4.4
      Rating, 4.4 out of 5 stars
      ·
      30 reviews

      Intermediate · Course · 1 - 3 Months

    • Status: Free Trial
      Free Trial
      U

      University of London

      Quantitative Foundations for International Business

      Skills you'll gain: Business Mathematics, Linear Algebra, Mathematical Modeling, Calculus, Financial Modeling, Algebra, Business Economics, Graphing

      4.1
      Rating, 4.1 out of 5 stars
      ·
      423 reviews

      Mixed · Course · 1 - 4 Weeks

    • Status: Free Trial
      Free Trial
      U

      Università di Napoli Federico II

      Asset Pricing Fundamentals

      Skills you'll gain: Financial Market, Portfolio Management, Investments, Equities, Capital Markets, Finance, Risk Analysis, Economics, Risk Management, Probability Distribution, Decision Making

      Intermediate · Course · 1 - 3 Months

    • Status: Free Trial
      Free Trial
      N

      New York Institute of Finance

      Market Risk Management: Frameworks & Strategies

      Skills you'll gain: Risk Management, Risk Modeling, Financial Market, Derivatives, Investment Management, Portfolio Management, Risk Analysis, Market Data, Equities, Asset Management, Capital Markets, Estimation, Financial Modeling, Statistical Modeling, Statistical Analysis, Probability & Statistics

      4.6
      Rating, 4.6 out of 5 stars
      ·
      188 reviews

      Beginner · Course · 1 - 3 Months

    • Status: Preview
      Preview
      N

      Northeastern University

      Foundations of Statistical Learning & Algorithms

      Skills you'll gain: Linear Algebra, Statistical Machine Learning, Mathematics and Mathematical Modeling, Statistical Modeling, Probability, Probability & Statistics, Statistical Methods, Bayesian Statistics, Probability Distribution, Mathematical Modeling, General Mathematics, Machine Learning, Applied Mathematics, Statistical Inference, Algebra

      Mixed · Course · 1 - 4 Weeks

    • Status: Free Trial
      Free Trial
      C

      Columbia University

      Computational Methods in Pricing and Model Calibration

      Skills you'll gain: Regression Analysis, Actuarial Science, Derivatives, Financial Market, Statistical Methods, Market Data, Financial Modeling, Securities (Finance), Risk Modeling, Financial Trading, Financial Systems, Mathematical Modeling, Numerical Analysis, Equities, Applied Mathematics, Financial Data, Correlation Analysis, Python Programming, Process Optimization, Probability Distribution

      4.4
      Rating, 4.4 out of 5 stars
      ·
      42 reviews

      Intermediate · Course · 1 - 3 Months

    • Status: Free Trial
      Free Trial
      N

      New York University

      Reinforcement Learning in Finance

      Skills you'll gain: Reinforcement Learning, Financial Trading, Financial Market, Derivatives, Markov Model, Financial Modeling, Securities Trading, Portfolio Management, Risk Management, Market Dynamics, Machine Learning, Estimation

      3.6
      Rating, 3.6 out of 5 stars
      ·
      134 reviews

      Advanced · Course · 1 - 4 Weeks

    • Status: Free Trial
      Free Trial
      C

      Columbia University

      Term-Structure and Credit Derivatives

      Skills you'll gain: Derivatives, Mortgage Loans, Securities (Finance), Credit Risk, Financial Modeling, Risk Modeling, Financial Market, Mathematical Modeling, Securities Trading, Applied Mathematics, Investment Banking, Microsoft Excel, Risk Analysis, Probability, Cash Flows, Analysis

      4.5
      Rating, 4.5 out of 5 stars
      ·
      62 reviews

      Intermediate · Course · 1 - 3 Months

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    In summary, here are 10 of our most popular mathematical finance courses

    • Using Machine Learning in Trading and Finance: New York Institute of Finance
    • Introduction to Finance: The Role of Financial Markets: University of Illinois Urbana-Champaign
    • Reinforcement Learning for Trading Strategies: New York Institute of Finance
    • Fundamentals of Machine Learning in Finance: New York University
    • Advanced Topics in Derivative Pricing: Columbia University
    • Quantitative Foundations for International Business: University of London
    • Asset Pricing Fundamentals: Università di Napoli Federico II
    • Market Risk Management: Frameworks & Strategies: New York Institute of Finance
    • Foundations of Statistical Learning & Algorithms: Northeastern University
    • Computational Methods in Pricing and Model Calibration: Columbia University

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