Financial Risk Management with Derivatives 2 D
Aalto University
<p>Financial risk management with options and other derivatives: Foreign exchange instruments, fixed-income products, volatility trading; stochastic interest rate models, modeling yield curves, stochastic volatilities; credit risk, XVA.</p>
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Course dates
07 January 2026 - 16 April 2026
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Course organizer
Ruth Kaila
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Place/Venue
School of Science / Department of Industrial Engineering and Management
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City
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Country
Finland
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Workload
3
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Link
https://mycourses.aalto.fi/course/search.php?...
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