


Financial Engineering And Risk Management Specialization, From 19 July 2025, VIRTUAL
Take your career in quantitative finance to the next level
Enroll in an elite training designed for ambitious leaders who aspire to excel in strategic decision-making and master the intricacies of modern finance, by the prestigious Columbia University in New York City.
COURSES INCLUDED IN THE FINANCIAL ENGINEERING AND RISK MANAGEMENT SPECIALIZATION:
Certification 1: Introduction to Financial Engineering and Risk Management
Certification 2: Term Structure and Credit Derivatives
Certification 3: Optimization Method in Asset Management
Certification 4: Advanced topic in Derivatives Pricing
Certification 5: Computational Method in Pricing and Model Calibration
WHAT YOU WILL LEARN:
Valuing options, swaps, forwards, futures, and other complex financial derivatives using stochastic models
Develop a systematic, data-driven approach to formulating modeled returns and risks for significant asset classes and optimal portfolios
Back test and implement trading models and signals in an active, live trading environment
WHO SHOULD ATTEND
This specialization is intended for aspiring learners and professionals seeking to hone their skills in the quantitative finance area. Through a series of 5 certifications, we will cover derivative pricing, asset allocation, portfolio optimization as well as other applications of financial engineering such as real options, commodity and energy derivatives and algorithmic trading. Those financial engineering topics will prepare you well for resolving related problems, both in the academic and professional settings.
DURATION
5 months. Each certification lasts 1 months. 2-hour Session per week (4 hours per week).
TUITION
LIMITED TIME OFFER – 50% DISCOUNT!
Pay only $250 x 4 monthly instalments (Total: $1,000 instead of $2,000!)
T: +27812184736 | Phone: +228 99202880
E: lwaleadinstitute@lwacorporate.com
COURSE OUTLINE
(ATTACHED)
