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Math for Quantitative Finance View more

Tour the mathematics used to model the chaos of the financial markets.

Book 26 Lessons

Course description

This course was written in collaboration with former quantitative traders from two leading firms.

In this course, we'll dive into statistical modeling, matrices, and Markov chains, and guide you through the powerful mathematics and statistics used to model the chaos of the financial markets.

Topics covered

  • Bayes' Theorem
  • Expected Value
  • Fermi Estimation
  • Hypothesis Testing
  • Interview Prep
  • Markov Chains
  • Matrices
  • Parameter Estimation
  • Probability
  • Statistical Distributions
  • Utility Functions
  • Variance and Covariance

Prerequisites and next steps

You'll need some familiarity with probability and random variables.