Finance Cert & Exam Prep

Financial Engineering & Portfolio Theory -CM2 Actuarial Exam free download

Financial Engineering & Portfolio Theory -CM2 Actuarial Exam free download
Financial Engineering & Portfolio Theory -CM2 Actuarial Exam – What you’ll learn in Financial Engineering . Efficient Market Hypothesis, Utility Theory, Stochastic Dominance, Behavioural Economics, Risk Measures and Risk Measures . The Great Recession, the Great Recession and the Great Depression of the 1990s are all part of the exam . The exam includes a description of the examination . The examination will focus on the theory behind Financial Markets and Investment Strategies and the investment strategies of the financial engineering and portfolio theory . It will also focus on how to deal with the financial crisis and the impact of the recession. The exam focuses on the role of financial engineering in the investment sector.

What you’ll learn in Financial Design & & Profile Theory -CM2 Actuarial Test

  1. Concept behind Financial Markets and also Financial Investment Techniques
  2. Intro to Financial Markets
  3. Effective Market Hypothesis
  4. Energetic vs Easy Financial Investment Methods
  5. The Excellent Recession
  6. Energy Theory
  7. Stochastic Prominence
  8. Behavioural Business economics
  9. Threat Measures
  10. Mean Difference Portfolio Concept

Description

Section 1 – Introduction

Who this course is for:

  • Students interested in Actuarial Science or pursuing a career in finance
File Name :Financial Engineering & Portfolio Theory -CM2 Actuarial Exam free download
Content Source:udemy
Genre / Category:Finance & Accounting
File Size :2.37 gb
Publisher :Michael Jordan
Updated and Published:06 Jun,2022

You may also like

Leave a reply

Your email address will not be published.