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Quantitative Finance - Pricing, Risk Management and Trading

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1 GB
Seeders
21
Leechers
12
Files
27
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Description

Quantitative Finance - Pricing, Risk Management and Trading


https://t.me/Network1337x




What you'll learn

Understand the foundations and key principles of quantitative finance.

Explain the role of quantitative analysts in modern financial markets.

Apply probability, statistics, calculus, and linear algebra concepts to financial problems.

Apply time value of money and discounting principles to financial valuation.

Analyze fixed income instruments using yield, duration, and convexity.

Understand interest rate term structures and yield curves.

Understand the Binomial and Black-Scholes-Merton option pricing models.

Understand market, credit, and operational risk concepts.

Understand Historical Simulation and Monte Carlo approaches to risk measurement.

Understand stress testing and scenario analysis frameworks.

Explore statistical arbitrage and mean reversion strategies.

Learn the fundamentals of algorithmic execution and market microstructure.

Explore portfolio optimization techniques and practical constraints.

Evaluate investment performance using performance attribution and risk-adjusted return metrics.

Develop a comprehensive understanding of quantitative approaches to financial analysis, risk management, portfolio construction, and trading.

File list
  • Quantitative Finance - Pricing, Risk Management and Trading
  • Bonus Resources.txt 54 B
  • ~Get Your Files Here !/1 - Foundations of Quantitative Finance/1. Introduction to Quantitative Finance and the Role of Quants.mp4 42 MB
  • ~Get Your Files Here !/1 - Foundations of Quantitative Finance/2. Core Mathematical Concepts Probability and Statistics.mp4 39.4 MB
  • ~Get Your Files Here !/1 - Foundations of Quantitative Finance/3. Core Mathematical Concepts Calculus and Linear Algebra Overview.mp4 43.8 MB
  • ~Get Your Files Here !/1 - Foundations of Quantitative Finance/3.1 Prime.txt 161 B
  • ~Get Your Files Here !/1 - Foundations of Quantitative Finance/4. Financial Markets Overview Equities, Fixed Income, and Derivatives.mp4 52 MB
  • ~Get Your Files Here !/1 - Foundations of Quantitative Finance/5. Time Value of Money and Discounting Principles.mp4 39.2 MB
  • ~Get Your Files Here !/2 - Asset Pricing and Valuation Models/10. Term Structure of Interest Rates and Yield Curves.mp4 36.6 MB
  • ~Get Your Files Here !/2 - Asset Pricing and Valuation Models/6. Modern Portfolio Theory and the Efficient Frontier.mp4 41.1 MB
  • ~Get Your Files Here !/2 - Asset Pricing and Valuation Models/7. Capital Asset Pricing Model (CAPM) and Alpha vs. Beta.mp4 37.3 MB
  • ~Get Your Files Here !/2 - Asset Pricing and Valuation Models/8. Arbitrage Pricing Theory (APT) and Multi-Factor Models.mp4 41.6 MB
  • ~Get Your Files Here !/2 - Asset Pricing and Valuation Models/9. Fixed Income Mathematics Yield, Duration, and Convexity.mp4 35.4 MB
  • ~Get Your Files Here !/3 - Derivative Pricing Frameworks/11. Mechanics of Forwards, Futures, and Swaps.mp4 34.2 MB
  • ~Get Your Files Here !/3 - Derivative Pricing Frameworks/12. Options Basics Payoff Structures and Put-Call Parity.mp4 38.2 MB
  • ~Get Your Files Here !/3 - Derivative Pricing Frameworks/13. Binomial Option Pricing Model.mp4 36.5 MB
  • ~Get Your Files Here !/3 - Derivative Pricing Frameworks/14. Black-Scholes-Merton Model Assumptions and Mechanics.mp4 42.9 MB
  • ~Get Your Files Here !/3 - Derivative Pricing Frameworks/15. Understanding Option Greeks Delta, Gamma, Theta, Vega, and Rho.mp4 35.5 MB
  • ~Get Your Files Here !/4 - Risk Management and Measurement/16. Introduction to Financial Risk Market, Credit, and Operational Risk.mp4 45.6 MB
  • ~Get Your Files Here !/4 - Risk Management and Measurement/17. Value at Risk (VaR) Variance-Covariance Method.mp4 36.1 MB
  • ~Get Your Files Here !/4 - Risk Management and Measurement/18. Value at Risk (VaR) Historical Simulation and Monte Carlo Approaches.mp4 45.9 MB
  • ~Get Your Files Here !/4 - Risk Management and Measurement/19. Expected Shortfall (Conditional VaR) and Tail Risk.mp4 39.4 MB
  • ~Get Your Files Here !/4 - Risk Management and Measurement/20. Stress Testing and Scenario Analysis Frameworks.mp4 48.4 MB
  • ~Get Your Files Here !/5 - Quantitative Trading Strategies and Portfolio Construction/21. Statistical Arbitrage and Mean Reversion Concepts.mp4 39.5 MB
  • ~Get Your Files Here !/5 - Quantitative Trading Strategies and Portfolio Construction/22. Momentum and Trend Following Strategies.mp4 48.3 MB
  • ~Get Your Files Here !/5 - Quantitative Trading Strategies and Portfolio Construction/23. Algorithmic Execution and Market Microstructure Theory.mp4 39.8 MB
  • ~Get Your Files Here !/5 - Quantitative Trading Strategies and Portfolio Construction/24. Portfolio Optimization Techniques and Constraints.mp4 45.2 MB
  • ~Get Your Files Here !/5 - Quantitative Trading Strategies and Portfolio Construction/25. Performance Attribution and Risk-Adjusted Return Metrics.mp4 41 MB

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