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Quantitative Methods of Financial Risk Management

Cornell University ยท NY ยท ORIE5650-

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Quantitative Methods of Financial Risk Management is a subject at Cornell University, NY. It covers topics like financial-analysis, financial-mathematics, quantitative-economics, quantitative-research-methods. It is part of 1 degree. The information below is compiled from public course material โ€” approximate, not official.

University
Cornell University
Code
ORIE5650-
Credit points
3.00

Topics covered

financial-analysisfinancial-mathematicsquantitative-economicsquantitative-research-methods

Degrees that include Quantitative Methods of Financial Risk Management

Frequently asked questions

What is Quantitative Methods of Financial Risk Management about?

Quantitative Methods of Financial Risk Management covers topics like financial-analysis, financial-mathematics, quantitative-economics, quantitative-research-methods.

Which degrees include Quantitative Methods of Financial Risk Management?

Quantitative Methods of Financial Risk Management is part of 1 degree, including Operations Research & Information Engineering (ORIE-MEng).

How many credit points is Quantitative Methods of Financial Risk Management?

Quantitative Methods of Financial Risk Management at Cornell University is typically around 3.00 credit points. Approximate โ€” confirm with the university.

Where is Quantitative Methods of Financial Risk Management taught?

Quantitative Methods of Financial Risk Management is taught at Cornell University, NY.

Studying Quantitative Methods of Financial Risk Management?

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Sources: Cornell University 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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