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Quantitative Methods for Finance and Investments · LearnSpace
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Quantitative Methods for Finance and Investments

Курс от EDUCBA
Уровень не указан≈ 11.4 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Master quantitative methods for finance with practical, real-world applications. Learn to analyze data, interpret statistical models, and forecast financial outcomes with confidence. This course provides a structured approach to regression analysis, hypothesis testing, and time series modeling. Starting with foundational concepts such as correlation and covariance, learners progress to advanced topics including regression diagnostics, model limitations, and forecasting techniques. Participants will learn to interpret key statistical measures such as coefficient estimates, goodness-of-fit metrics, significance tests, and model evaluation indicators. The course also addresses common analytical challenges, including heteroskedasticity, multicollinearity, and model specification issues. In addition, learners explore time series techniques, including autoregressive models, seasonality analysis, and volatility modeling. Through practical examples and applied exercises, the course emphasizes the interpretation and application of quantitative methods for financial analysis and decision-making. By the end of the course, learners will be able to evaluate financial data, apply statistical techniques appropriately, interpret analytical results, and support data-driven decisions in finance, investment, research, and risk analysis roles.

Навыки, которые вы освоите

Regression AnalysisStatistical AnalysisTime Series Analysis and ForecastingModel EvaluationCorrelation AnalysisStatistical MethodsFinancial ForecastingStatistical ModelingFinancial ModelingStatistical Hypothesis TestingQuantitative ResearchFinancial AnalysisAnalysisFinanceResearchRisk AnalysisTrend AnalysisDecision MakingFinancial DataForecasting

Программа курса

5 модулей · 59 учебных материалов

01Foundations of Quantitative Thinking13 материалов

Getting Started with Quantitative Analysis

Introduction to Quantitative MethodsВидеоCorrelationВидеоGetting Started with Quantitative AnalysisЗадание

Measuring Relationships in Data

Covariance of ReturnsВидео

Учитесь у экспертов

EDUCBA

Преподаватель курса

Quantitative Methods for Finance and Investments
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Обучение на Coursera

≈ 11.4 ч

5 модулей

Язык: Английский

Часть программы вашего университета
Limitations of CorrelationВидео
Measuring Relationships in DataЗадание

Statistical Decision Making Basics

Hypthesis TestingВидеоLimitations of RegressionВидеоLinear Regression of ReturnВидеоStatistical Decision Making BasicsЗаданиеAnalyzing Financial Relationships Using Correlation & Hypothesis TestingDIALOGUEStatistical Foundations for Financial AnalysisЗаданиеInterpreting Financial Relationships Using Correlation and Hypothesis TestingDIALOGUE
02Regression & Statistical Inference11 материалов

Confidence & Variability

Confidence IntervalsВидеоAnovaВидеоConfidence & VariabilityЗадание

Model Strength & Construction

Calculating R SquareВидеоFormulating RegressionsВидеоModel Strength & ConstructionЗадание

Interpreting Statistical Outputs

Interpreting P ValuesВидеоConfidence IntervalsВидеоAssumptions of Multiple RegressionВидеоInterpreting Statistical OutputsЗаданиеRegression Modeling & Statistical InferenceЗадание
03Regression Diagnostics & Issues11 материалов

Evaluating Model Performance

F StatisticВидеоInterpreting R squareВидеоEvaluating Model PerformanceЗадание

Enhancing Regression Models

Dummy VariablesВидеоViolations of Regression AssumptionsВидеоEnhancing Regression ModelsЗадание

Common Statistical Problems

HeteroskedasticityВидеоHeteroskedasticity DiagramВидеоSerial CorrelationВидеоCommon Statistical ProblemsЗаданиеRegression Diagnostics & Model ImprovementЗадание
04Advanced Regression Challenges11 материалов

Time-Based Correlation Issues

Serial Correlation ContinuesВидеоMulticollinearityВидеоTime-Based Correlation IssuesЗадание

Model Accuracy & Design

Model MisspecificationВидеоQualitative Dependent VariablesВидеоModel Accuracy & DesignЗадание

Time Series Foundations

Trend ModelsВидеоAutoregressive ModelsВидеоForecasting with AR ModelsВидеоTime Series FoundationsЗаданиеAdvanced Regression & Time Series ConceptsЗадание
05Time Series & Advanced Forecasting13 материалов

Market Behavior & Stability

Mean ReversionВидеоRegression Coefficient InstabilityВидеоFirst Difference and Explosive RootВидеоMarket Behavior & StabilityЗадание

Seasonal Patterns in Data

Seasonality FactorВидеоSeasonality Factor ContinuesВидеоSeasonal Patterns in DataЗадание

Advanced Volatility & Time Series Models

Auto Regressive Conditional HeterosexualityВидеоARCH ModelsВидеоMultiple Time SeriesВидеоAdvanced Volatility & Time Series ModelsЗаданиеTime Series Forecasting & Volatility ModelingЗаданиеEvaluating Financial Data Using Regression and Time Series AnalysisDIALOGUE