Risk-Neutral Asset Pricing
University of Edinburgh ยท Scotland ยท MATH11157
Risk-Neutral Asset Pricing is a subject at University of Edinburgh, Scotland. It covers topics like financial-analysis, financial-markets, mathematical-economics, risk-modelling. It is part of 4 degrees. The information below is compiled from public course material โ approximate, not official.
University of Edinburgh
MATH11157
3.00
Topics covered
Degrees that include Risk-Neutral Asset Pricing
- Computational Mathematical Finance (MSc) (Full-time)
- Computational Mathematical Finance (MSc) (Part-time)
- Financial Modelling and Optimization (MSc) (Full-time)
- Financial Modelling and Optimization (MSc) (Part-time)
Frequently asked questions
What is Risk-Neutral Asset Pricing about?
Risk-Neutral Asset Pricing covers topics like financial-analysis, financial-markets, mathematical-economics, risk-modelling.
Which degrees include Risk-Neutral Asset Pricing?
Risk-Neutral Asset Pricing is part of 4 degrees, including Computational Mathematical Finance (MSc) (Full-time), Computational Mathematical Finance (MSc) (Part-time), Financial Modelling and Optimization (MSc) (Full-time), Financial Modelling and Optimization (MSc) (Part-time).
How many credit points is Risk-Neutral Asset Pricing?
Risk-Neutral Asset Pricing at University of Edinburgh is typically around 3.00 credit points. Approximate โ confirm with the university.
Where is Risk-Neutral Asset Pricing taught?
Risk-Neutral Asset Pricing is taught at University of Edinburgh, Scotland.
Studying Risk-Neutral Asset Pricing?
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Sources: University of Edinburgh public course catalogue. Information is compiled and summarised โ not copied verbatim โ and is approximate; always confirm with the original source.
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