1 |
衍生证券 |
Derivative Securities |
2 |
风险与投资组合管理(计量经济学) |
Risk and Portfolio Mgmt with Econometrics |
3 |
随机计算 |
Stochastic Calculus |
4 |
金融计算 |
Computing in Finance |
5 |
固定收益衍生品:模型与战略实践 |
Fixed Income Derivatives: Models & Strategies in Practice |
6 |
信贷分析:债券、贷款与衍生品 |
Credit Analytics: Bonds, Loans, and Derivatives |
7 |
科学计算 |
Scientific Computing |
8 |
连续时间金融 |
Continuous Time Finance |
9 |
时间序列分析与统计套利 |
Time Series Analysis and Statistical Arbitrage |
10 |
金融建模案例研究 |
Case Studies in Financial Modeling |
11 |
金融计算方法 |
Computational Methods for Finance |
12 |
监管与监管风险模型 |
Regulation and Regulatory Risk Models |
13 |
高级计量经济学建模与大数据 |
Advanced Econometric Modeling and Big Data |
14 |
计量金融的数据科学 |
Data Science in Quantitative Finance |
15 |
证券化产品与结构融资 |
Securitized Products & Structured Finance |