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Quantitative Methods for Financial Analysis · LearnSpace
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Quantitative Methods for Financial Analysis

Курс от EDUCBA
Уровень не указан≈ 15.6 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Learn how quantitative methods, probability, and statistics are used to analyze financial data, measure investment performance, and interpret market behavior. Build practical analytical skills used in finance, investment research, and portfolio analysis. This course provides a structured introduction to quantitative financial analysis by combining financial concepts with statistical and probability-based techniques. You’ll learn how analysts evaluate investment returns, measure portfolio risk, interpret market trends, and apply statistical reasoning to financial decision-making. Throughout the course, you’ll explore essential concepts such as time value of money, discounted cash flow, yield calculations, probability distributions, variance, covariance, skewness, and expected returns. You’ll also learn how portfolio mathematics and statistical models help analysts assess uncertainty and forecast financial outcomes. The course further introduces sampling methods, estimation techniques, technical market indicators, investor sentiment analysis, and hypothesis testing used in modern financial analysis. Step-by-step explanations and practical financial examples help learners connect quantitative theory with real-world market applications. What makes this course unique is its integrated approach that combines finance, statistics, and market analysis within a single practical learning path. By the end of the course, you’ll be able to confidently analyze financial datasets, interpret statistical measures, evaluate market trends, and apply quantitative methods to support informed financial and investment decisions.

Навыки, которые вы освоите

Technical AnalysisFinancial AnalysisInvestment ManagementStatistical Hypothesis TestingStatistical AnalysisProbability DistributionProbabilitySampling (Statistics)Portfolio ManagementMarket TrendQuantitative ResearchStatistical MethodsDescriptive StatisticsPortfolio RiskPerformance MetricReturn On InvestmentProbability & StatisticsFinancial DataFinanceFinancial Market

Программа курса

6 модулей · 82 учебных материалов

01Foundations of Time Value & Investment Returns15 материалов

Understanding the Time Value of Money

Time Value of MoneyВидеоEffective Annual YieldВидеоFuture Value of A Single SumВидеоUnderstanding the Time Value of MoneyЗадание

Building Wealth with Annuities and Savings

Учитесь у экспертов

EDUCBA

Преподаватель курса

Quantitative Methods for Financial Analysis
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Обучение на Coursera

≈ 15.6 ч

6 модулей

Язык: Английский

Часть программы вашего университета
Future Value of an Ordinary AnnuityВидео
Retirement Savings ProblemВидео
Discounted Cash Flow ApplicationsВидео
Building Wealth with Annuities and SavingsЗадание

Measuring Investment Performance

Holding Period ReturnВидеоTime Weighted ReturnВидеоBond Discount YieldВидеоMeasuring Investment PerformanceЗаданиеEvaluating Investment Decisions Using Time Value of MoneyDIALOGUEGraded - Foundations of Time Value & Investment ReturnsЗаданиеAdvising an Investment Client Using Time Value and Return AnalysisDIALOGUE
02Yield Calculations & Statistical Foundations13 материалов

Understanding Yield Calculations

Yield ExampleВидеоStatistical Concepts and Market ReturnВидеоMeasurement ScalesВидеоUnderstanding Yield CalculationsЗадание

Visualizing and Measuring Data

HistogramВидеоGeometric Mean ExampleВидеоHarmonic MeanВидеоVisualizing and Measuring DataЗадание

Portfolio Statistics

Portfolio Returns ExampleВидеоQuantilesВидеоSample Variance and Standard DeviationВидеоPortfolio StatisticsЗаданиеGraded - Yield Calculations & Statistical FoundationsЗадание
03Risk, Distribution & Probability Basics13 материалов

Risk Measurement and Distribution

Coefficient of VariationВидеоPositive Skew = Right SkewВидеоProbability ConceptsВидеоRisk Measurement and DistributionЗадание

Understanding Probability Outcomes

ODDS for and AgainstВидеоTotal ProbabilityВидеоJoint ProbabilityВидеоUnderstanding Probability OutcomesЗадание

Probability Modeling Techniques

Joint Probability of a Number of Independent EventsВидеоProbability TreeВидеоCovarianceВидеоProbability Modeling TechniquesЗаданиеGraded - Risk, Distribution & Probability BasicsЗадание
04Portfolio Mathematics & Probability Distributions13 материалов

Portfolio Risk and Returns

Portfolio Expected ReturnsВидеоBayes FormulaВидеоDiscrete and Continuous Probability DistributionВидеоPortfolio Risk and ReturnsЗадание

Probability Distributions in Finance

Cumulative Distribution Function (CDF)ВидеоDiscrete UniformВидеоBinomial TreeВидеоProbability Distributions in FinanceЗадание

Measuring Investment Risk

Tracking ErrorВидеоStandard Normal DistributionВидеоContinuous CompoundingВидеоMeasuring Investment RiskЗаданиеGraded - Portfolio Mathematics & Probability DistributionsЗадание
05Sampling, Estimation & Market Analysis13 материалов

Sampling and Data Analysis

Sampling and EstimationВидеоStratified Random SamplingВидеоTime Series vs Cross SectionalВидеоSampling and Data AnalysisЗадание

Statistical Inference

T - Distribution and Degrees of FreedomВидеоSample Size IssuesВидеоDesired Estimator PropertiesВидеоStatistical InferenceЗадание

Introduction to Technical Analysis

Technical AnalysisВидеоTechnical Analysis ChartВидеоSupport and ResistanceВидеоIntroduction to Technical AnalysisЗаданиеGraded - Sampling, Estimation & Market AnalysisЗадание
06Market Indicators & Hypothesis Testing15 материалов

Advanced Charting Techniques

Common Chart PattersВидеоBollinger BandsВидеоSentiment IndicatorsВидеоAdvanced Charting TechniquesЗадание

Market Psychology & Pattern Analysis

Elliot WaveВидеоHypothesis TestingВидеоTest Statistic and Critical ValuesВидеоMarket Psychology & Pattern AnalysisЗадание

Statistical Testing Applications

One Tailed TestВидеоP ValueВидеоExampleВидеоTest Statistic - VarianceВидеоStatistical Testing ApplicationsЗаданиеGraded - Market Indicators & Hypothesis TestingЗаданиеQuantitative Analyst Briefing for an Investment Decision
DIALOGUE