| Financial Mathematics Modeling and Predictive Analytics | | |
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School | Toronto Metropolitan University | | |
Location | Toronto, ON, Canada | | |
School Type | University | | |
School Size | Full-time Undergraduate: 36,000 Full-time Graduate: 2,400 | | |
Degree | Certificate | | |
Honours | | | |
Co-op | | | |
Length | | | |
Entry Grade (%)* | | | |
Prerequisites | | | |
Prerequisites Notes | It is recommended that applicants have the following:
Mature student status and evidence of university level coursework in mathematics, economics, and/or finance, or equivalent (to be determined by the academic coordinator)
OR
Mature student status and other relevant qualifications or relevant industry experience (to be determined by the academic coordinator) | | |
Cost | | | |
Scholarships | | | |
Description | This certificate is intended to provide professionals with the technical skills to perform predictive analytics. You will learn how to determine the value of financial derivatives and complex investments, and how to assess and analyze, through modeling frameworks, the associated benefits and risks of these instruments. You will attain a mastery of data analytics applied competencies and of financial mathematics, especially in the areas of stochastic processes and probability, in statistics, and in computation, together with an understanding of the highly complex operations of financial markets.
Learn how to determine the value of financial derivatives and complex investments. Gain skills in assessing and analyzing the associated benefits and risks of these instruments through modeling frameworks and predictive analytics. | | |
Next Steps | | | |