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Corporate Finance Institute's (CFI's) Financial Modeling & Valuation Analyst (FMVA)® Certification Program was created by experienced instructors for ambitious financial analysts, who want to close the skill gap between formal education and becoming a world-class financial analyst.
Udemy is the leading global marketplace for teaching and learning, connecting students everywhere to the world’s best instruction anywhere. By connecting students all over the world to the best instructors, Udemy is helping individuals reach their goals and pursue their dreams.
Coursera provides universal access to the world’s best education, partnering with top universities and organizations to offer courses online. Coursera’s mission is to connect the world to a great education and let people learn without limits.
Volume I covers the essential mathematical and financial background for subsequent volumes. There are six comprehensive chapters covering all the calculus, linear algebra, probability and statistics, numerical methods and portfolio mathematics that are necessary for market risk analysis.
Practical Financial Econometrics forms part two of the Market Risk Analysis four-volume set. It introduces the econometric techniques that are applied to finance with a critical and selective exposition, emphasising the areas of econometrics, such as GARCH, cointegration, and copulas that are required for resolving problems in market risk analysis.
This book is an in-depth, practical and accessible guide to the models that are used for pricing and the strategies that are used for hedging financial instruments, and to the markets in which they trade. It provides a comprehensive, rigorous and accessible introduction to bonds, swaps, futures and forwards and options, including variance swaps, volatility indices, and their futures and options, to stochastic volatility models and to modeling the implied and local volatility surfaces.
Written by leading market risk academic, Professor Carol Alexander, Value-at-Risk Models forms part four of the Market Risk Analysis four-volume set. Building on the three previous volumes this book provides by far the most comprehensive, rigorous and detailed treatment of market VaR models. It rests on the basic knowledge of financial mathematics and statistics gained from Volume I, of factor models, principal component analysis, statistical models of volatility and correlation and copulas from Volume II and, from Volume III, knowledge of pricing and hedging financial instruments and of mapping portfolios of similar instruments to risk factors.
DataCamp offers interactive R, Python, Sheets, SQL and shell courses. All on topics in data science, statistics and machine learning. Learn from a team of expert teachers in the comfort of your browser with video lessons and fun coding challenges and projects.
Real Estate Financial Modeling 2.0 teaches you how to master the questions and case studies you’ll need to win offers at the top real estate private equity firms, brokerages, development firms, and investment banks.
Master the nuances of oil and gas accounting, valuation, and financial modeling with detailed, step-by-step video training. These are skills that are NOT taught in undergraduate or MBA program, but which any oil & gas group will expect you to know in interviews and on the job.
The Investment Banking Networking Toolkit makes it easy to create valuable contacts and connections that will ease your way into a great job in IB, Private Equity or Hedge Funds.
The Investment Banking Interview Guide 4.0 takes interview preparation way beyond “regurgitating canned responses” to “mastering the fundamental concepts.” BIWS also gives you multiple ways to test yourself so that you can identify and fix any weaknesses before you step into the interview room.
BIWS bundled up ALL of their courses into a "super package" called BIWS Platinum – which lets you get your hands on all of the courses that you’d very likely invest in over time anyway.
Breaking Into Wall Street Premium gives you the “standout factor” you need to succeed in Investment Banking and finance interviews.
The Breaking Into Wall Street Bank & Financial Institution
Modeling Course is hands-down the fastest way to master
real-world bank modeling and valuation.
Breaking into Wall Street (BIWS) has revised its incredibly popular course that members call "deal experience in a box." Learn Excel, accounting, valuation, and financial modeling from the ground up with over eight (8) real-life case studies from around the world. This course is much more than theory; included are actual company valuations, the creation of a merger model, and building a leverage buyout (LBO) model.
Advanced Financial Modeling teaches you how investment bankers model companies in real life. Everything is based on a case study of Microsoft’s offer to acquire Yahoo, and real SEC filings and equity research from banks such as Credit Suisse and Morgan Stanley are used throughout the course.