Study of quantitative approaches to finance. Covers mathematical and statistical topics required for such analysis, including derivatives, optimization, integration, probability, inference, and regression. Students will become proficient in using the tools and applying them to various financial contexts using analytics Excel.
instructor(s)
Brown, Daniel Gregory
Primary Instructor
- Spring 2019 / Summer 2019 / Fall 2019 / Spring 2020 / Summer 2020 / Fall 2020 / Spring 2021 / Summer 2021 / Fall 2021 / Spring 2022 / Fall 2022 / Spring 2023
Burnes, Ellen
Primary Instructor
- Summer 2023 / Spring 2024 / Fall 2024 / Fall 2025
Hunter, Nicole
Primary Instructor
- Spring 2025 / Fall 2025 / Spring 2026
Merrell, Jeffrey C
Primary Instructor
- Spring 2019 / Spring 2020 / Spring 2021 / Spring 2022 / Fall 2023 / Summer 2024 / Fall 2024 / Summer 2025 / Spring 2026
Mohr, Pete
Primary Instructor
- Spring 2018 / Fall 2018 / Spring 2019 / Spring 2020 / Spring 2023 / Spring 2024 / Spring 2025 / Spring 2026
Obreja, Iulian
Primary Instructor
- Fall 2020 / Spring 2021 / Spring 2022 / Spring 2023 / Spring 2024 / Spring 2025