Quantitative Finance Training
Quantitative Finance deals with the application of mathematics, statistics, computer programming and physics to solving problems in the areas of finance and investments. Quant finance professionals have careers in quantitative investment management, financial risk management, portfolio management, algorithmic trading, derivatives valuation, model validation, financial software & systems, financial consulting services, etc.
We design and conduct bespoke implementation-oriented quant finance training courses for organisations. Depending on the needs of the organization and the participant profile, the course generally starts with learning the background mathematics and fundamental concepts of investment finance and risk management and then goes on to learning the specialized theories of valuations and risk analytics of various derivatives asset classes and then further learn practical model building in Python.