The programme targets at helping professionals acquire advanced quantitative skills to analyze sophisticated derivative models, price and evaluate the risk of complex financial instruments, and develop appropriate risk management strategies.
The programme targets at helping professionals acquire advanced quantitative skills to analyze sophisticated derivative models, price and evaluate the risk of complex financial instruments, and develop appropriate risk management strategies.
Event | End Date |
Early Application Deadline | Nov 15, 2023 |
Normal Application Deadline | Jan 16, 2024 |