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Curso

Math for Finance Professionals

Principiante
Actualizado 5/2025
Learn essential finance math skills with practical Excel exercises and real-world examples.
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TheoryApplied Finance3 horas45 vídeos57 Ejercicios3,000 XPCertificado de logros

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Descripción del curso

Foundation of Financial Mathematics

Begin your journey into the quantitative aspects of finance by exploring the fundamental principles of interest calculations, including the differences and applications of simple and compound interest. Understanding these concepts is crucial for mastering the techniques of compounding and discounting cash flows, which are vital for accurate financial analysis and decision-making. This section establishes a robust foundation for finance professionals to handle future financial challenges.

Practical Applications and Tools

The course then advances to applying these foundational concepts in real-world financial tasks. Learners will engage with practical examples to deepen their understanding of how to manage risk and assess investment opportunities effectively. This includes hands-on Excel exercises and analysis of real data through Reuters screenshots, enabling learners to apply mathematical principles to live financial data and scenarios.

Statistical Methods for Finance

In the concluding section of the course, focus shifts to the statistical methods essential for performance measurement and risk management in finance. Participants will explore various statistical tools and techniques, learning how to implement these methods in practical, finance-related applications. This part of the course reinforces learning through direct application, preparing participants to leverage statistical analysis in their day-to-day financial roles.

Prerrequisitos

No hay requisitos previos para este curso
1

Simple & Compound Interest

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2

Nominal and Effective Interest Rates

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3

Discounted Cash Flows

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4

Bond Pricing

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5

Statistics for Finance

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Math for Finance Professionals
Curso
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