Master the mathematical principles of financial markets, asset pricing, and portfolio theory with a clear, step-by-step approach.
💬مدرب ذكاء اصطناعي اسأل عن أي درس واحصل على إجابة واضحة فورًا، في أي وقت.
🕐ابدأ في أي وقت بلا جداول أو مواعيد نهائية — تعلّم بوتيرتك، وقتما يناسبك.
🌐بالعربية الدروس والمهام والشهادة — كل ذلك بلغتك بالكامل.
حول هذه الدورة
Have you ever wondered how financial institutions determine the fair price of stock options or manage risk in volatile markets? Understanding the mathematical models behind modern finance is essential for anyone looking to enter quantitative finance, risk management, or investment analysis. This course provides a clear, structured path to mastering the foundational mathematics that govern financial markets, ensuring you build confidence with every concept.
By working through this comprehensive text-based curriculum, you will transition from a basic understanding of financial terms to analyzing and solving complex quantitative models. You will start with core financial definitions and probability theory before moving into advanced valuation techniques and risk-management strategies.
What you'll learn:
- Understand foundational financial concepts, including interest rates, compounding, and time value of money
- Analyze discrete-time models, such as binomial trees, to price financial derivatives
- Master the continuous-time mathematics that underpin the famous Black-Scholes-Merton model
- Apply stochastic calculus basics and probability theory to model asset price movements
- Evaluate portfolio risk and return profiles using modern portfolio theory
- Practice formulating hedging strategies to mitigate financial exposure in volatile environments
The course begins with a thorough introduction to basic financial terminology and mathematical tools, ensuring you have a solid foundation before advancing to continuous-time modeling and option pricing applications. Each section is designed to break down dense mathematical proofs into intuitive, readable explanations with practical scenarios.
This course is designed for beginners, aspiring quantitative analysts, finance students, and professionals transitionining into risk management who want a rigorous yet accessible introduction to mathematical finance. No prior background in advanced financial modeling is required.
Start your journey into quantitative finance today and master the mathematics that drive global markets.
ما الذي ستحصل عليه
📜شهادة إتمام أضفها إلى ملفك على LinkedIn
💬مدرّس AI شخصي عالق في دورة؟ اسأل مدرّسك المدمج أي شيء، في أي وقت.
🎧النسخة الصوتية مضمَّنة تعلَّم أثناء تنقُّلك — دون شاشة
♾️وصول مدى الحياة عُد متى شئت، بلا انتهاء
📱الهاتف أو الكمبيوتر يعمل في أي مكان وعلى أي جهاز
💸استرداد خلال 14 يومًا دون أسئلة
⚡قصير ومركَّز 2 ساعة 42 دقيقة من المحتوى التطبيقي
شهادة إتمام
كل دورة تكملها على PickAClass تُصدر شهادة كهذه — أصلية، بكودها الخاص، قابلة للتحقّق عبر الرابط، ومفصّلة عمّا أُثبت فعلًا.