This course focuses on financial modeling, introducing fundamental concepts and quantitative techniques used in constructing financial models for making informed financial and investment decisions. The course covers the application of mathematical and statistical tools in financial market analysis, risk management, asset valuation, and financial forecasting using spreadsheets, particularly Excel and Python
Students will learn to enhance their use of these tools to develop quantitative financial models commonly employed in measuring and managing financial risks, as well as generating corporate forecasts and predictions.
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