Current topics of particular importance in finance and risk engineering are analyzed and discussed. Selected topics are emphasized and provide focus for further study. Examples might include Financial Economics, Macroeconomics and Finance, the Bond market, the securities markets, Derivatives markets, Contract Theory, Credit and Counterparty Risks, Banking Finance and others.
Prerequisites: Graduate standing and instructor’s permission and Graduate Standing
Additional material: FRE 7801 QUANTITATIVE TOPICS IN FINANCE AND FINANCIAL MARKETS 1.pdf