Course

    Course work

    Risk Management Bocconi 01

    Risk Management Bocconi 01

    Styled Topic: 

    Risk Management

    Detail:

    Master's in Economics

    Applied Finance - Master's in Business Adminstration

    Applied Finance - Master's in Business Adminstration

    Styled Topic: 

    Applied Finance

    Detail:

    Master's in Business Adminstration

    Quantitative Portfolio and Risk Management - Master's in Applied Econometrics

    Quantitative Portfolio and Risk Management - Master's in Applied Econometrics

    Styled Topic: 

    Quantitative Portfolio and Risk Management

    Detail:

    Master's in Applied Econometrics

    Risk Management

    Risk Management

    Styled Topic: 

    Risk Management

    Detail:

    Master's in Economics

    Capital Markets and Portfolio Theory (2006 spring) Master's in Mathematical Finance

    Capital Markets and Portfolio Theory (2006 spring) Master's in Mathematical Finance

    Styled Topic: 

    Capital Markets and Portfolio Theory

    Detail:
    Master's in Mathematical Finance Our class picture:

    Capital Markets and Portfolio Theory (Courant 2006 Fall)

    Capital Markets and Portfolio Theory (Courant 2006 Fall)

    Styled Topic: 

    Capital Markets and Portfolio Theory

    Detail:
    Master's in Mathematical Finance
    Our class picture:

    Capital Markets and Portfolio Theory (2007 Fall)

    Capital Markets and Portfolio Theory (2007 Fall)

    Styled Topic: 

    Capital Markets and Portfolio Theory

    Detail:

    Master's in Mathematical Finance

    This is our class picture:

    Quantitative Risk and Portfolio Management (2007 Spring Columbia)

    Quantitative Risk and Portfolio Management (2007 Spring Columbia)

    Styled Topic: 

    Quantitative Risk and Portfolio Management

    Detail:

    Master's in Financial Engineering IEOR

    This is our class picture:

    Quantitative Risk and Portfolio Management with Econometrics - 2008 Fall Courant

    Quantitative Risk and Portfolio Management with Econometrics - 2008 Fall Courant

    Styled Topic: 

    Risk and Portfolio Management with Econometrics

    Detail:

    Class: Quantitative Risk and Portfolio Management with Econometrics
    Master's in Mathematical Finance
    This is our class picture: