Description
Analytics for Finance is designed to ensure that students understand different statistical and mathematical models utilized to analyze financial markets and securities. Students will gain an applied understanding of how statistical arbitrage and various forms of risk analytics are utilized in order to maximize market returns.
Instruction Modes
In-Person On-Campus
Grade Modes
Pass/Fail (P), Standard (S)
Department(s)
College/School
School of Business
Start Term
Fall 2022 Semester