The Количественная Финансистика course exceeded my expectations. The rigorous quantitative models taught helped me meet my goal of mastering risk‑adjusted portfolio construction. I applied the Monte Carlo simulation module directly to a client project, which reduced forecast error by 12 %. The lecture notes and the accompanying Python notebooks were exceptionally clear and up‑to‑date with industry standards. Overall, the learning experience was professional and highly relevant to my role as a financial analyst at a US investment firm.
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