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Pluralsight - Understanding and Applying Financial Risk Modeling Techniques

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视频 2017-5-10 12:15 2024-11-19 20:01 396 1.95 GB 34
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文件列表
  1. Module 02 - Measuring Financial Risk Using Models - #08 - Advantages of VaR.mp418.53MB
  2. Module 00 - Course Overview - #01 - Course Overview.mp418.61MB
  3. Module 02 - Measuring Financial Risk Using Models - #03 - Covariance Matrices in Measuring Portfolio Variance.mp427.72MB
  4. Module 01 - Understanding Financial Risk - #06 - Coming up Next.mp428.61MB
  5. Module 02 - Measuring Financial Risk Using Models - #04 - The Intuition Behind Factor Models.mp429.26MB
  6. Module 01 - Understanding Financial Risk - #05 - Covariance Matrices.mp430.9MB
  7. Module 02 - Measuring Financial Risk Using Models - #06 - The Intuition Behind Value-at-risk.mp434.09MB
  8. Module 04 - Implementing Financial Risk Models in R - #03 - Building Factor Models.mp434.81MB
  9. Module 04 - Implementing Financial Risk Models in R - #04 - Idiosyncratic and Systemic Risk.mp435.51MB
  10. Module 02 - Measuring Financial Risk Using Models - #02 - Portfolios as Sums of Random Variables.mp439.51MB
  11. Module 02 - Measuring Financial Risk Using Models - #01 - An Approach to Risk Management.mp441.05MB
  12. Module 02 - Measuring Financial Risk Using Models - #05 - The Math Behind Factor Models.mp441.75MB
  13. Module 05 - Implementing Financial Risk Models in Python - #02 - Estimating Historical Risk.mp441.99MB
  14. Module 04 - Implementing Financial Risk Models in R - #02 - Estimating Historical Risk.mp442.13MB
  15. Module 02 - Measuring Financial Risk Using Models - #09 - Disadvantages of VaR.mp442.78MB
  16. Module 04 - Implementing Financial Risk Models in R - #06 - Quantifying the Worst Case with VaR.mp445.23MB
  17. Module 02 - Measuring Financial Risk Using Models - #07 - The Math Behind Value-at-risk.mp448.08MB
  18. Module 05 - Implementing Financial Risk Models in Python - #04 - Idiosyncratic and Systemic Risk.mp453.13MB
  19. Module 04 - Implementing Financial Risk Models in R - #05 - Scenario-based Stress Testing.mp453.32MB
  20. Module 01 - Understanding Financial Risk - #04 - Mean and Variance.mp453.45MB
  21. Module 01 - Understanding Financial Risk - #01 - Risk and Uncertainty.mp458.35MB
  22. Module 05 - Implementing Financial Risk Models in Python - #03 - Building Factor Models.mp462.55MB
  23. Module 05 - Implementing Financial Risk Models in Python - #05 - Scenario-based Stress Testing.mp464.22MB
  24. Module 01 - Understanding Financial Risk - #02 - Idiosyncratic and Systemic Risk.mp464.28MB
  25. Module 03 - Implementing Financial Risk Models in Excel and VBA - #04 - Idiosyncratic and Systemic Risk.mp468.28MB
  26. Module 01 - Understanding Financial Risk - #03 - Case Studies in Risk Management.mp470.63MB
  27. Module 05 - Implementing Financial Risk Models in Python - #06 - Quantifying the Worst Case with VaR.mp481.08MB
  28. Module 05 - Implementing Financial Risk Models in Python - #01 - Assembling a Portfolio.mp482.39MB
  29. Module 04 - Implementing Financial Risk Models in R - #01 - Assembling a Portfolio.mp488.09MB
  30. Module 03 - Implementing Financial Risk Models in Excel and VBA - #01 - Assembling a Portfolio.mp498.49MB
  31. Module 03 - Implementing Financial Risk Models in Excel and VBA - #06 - Quantifying the Worst Case with VaR.mp4101.42MB
  32. Module 03 - Implementing Financial Risk Models in Excel and VBA - #03 - Building Factor Models.mp4123.67MB
  33. Module 03 - Implementing Financial Risk Models in Excel and VBA - #05 - Scenario-based Stress Testing.mp4133.38MB
  34. Module 03 - Implementing Financial Risk Models in Excel and VBA - #02 - Estimating Historical Risk.mp4141.47MB
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