Capital Markets and Portfolio Theory - Fall 2006
Master's in Mathematical Finance, Courant Institute of Mathematical Sciences - New York University
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Lecture  2
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Lecture  3
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Lecture  4
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Lecture  5
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Lecture  6
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Lecture  7
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Lecture  8
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Lecture  9
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Lecture 10
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Lecture 11
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Lecture 12
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Lecture 13
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Lecture 14
Capital Markets and Portfolio Theory - Spring 2006
Master's in Mathematical Finance, Courant Institute of Mathematical Sciences - New York University
Quantitative Risk and Portfolio Management - Spring 2006
PhD in Economics, Bocconi University - Milan
Risk Management - Spring 2002
Master's in Economics, Bocconi University - Milan
Quantitative Portfolio and Risk Management - Spring 2002
Master's in Applied Econometrics, University of Pavia
Applied Finance - Fall 2001
Master's in Business Adminstration, China Europe International Business School - Shanghai
Risk Management - Spring 2001
Master's in Economics, Bocconi University - Milan
- 09/02/08
- 09/09/08
- 09/16/08
- 09/23/08
- 09/30/08
- 10/07/08
- 10/21/08
- 10/28/08
- 11/04/08
- 11/11/08
- 11/18/08
- 11/25/08
- 12/02/08
- 12/09/08
Quantitative Risk and Portfolio Management - Spring 2007
Master's in Financial Engineering, IEOR - Columbia University - New York
Quantitative Risk and Portfolio Management with Econometrics - Fall 2008
Master's in Mathematical Finance, Courant Institute of Mathematical Sciences - New York University
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- 09/05/08
Capital Markets and Portfolio Theory - Fall 2007
Master's in Mathematical Finance, Courant Institute of Mathematical Sciences - New York University
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Prerequisites
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