Introduction to Financial Mathematics โ€” LearnFlat
โฑ 2 jam 48 min ๐Ÿ“š 28 pelajaran ๐ŸŽง Versi audio

Introduction to Financial Mathematics

Master the mathematical foundations of interest rates, annuities, portfolios, and asset pricing through structured, text-based explanations and practical calculations.

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  • ๐Ÿ• Mula bila-bila masa
    Tiada jadual atau tarikh akhir โ€” belajar mengikut rentak sendiri, bila-bila masa.
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Tentang kursus ini

Have you ever wondered how financial institutions price loans, value investments, or manage portfolio risk? Understanding the mathematical principles behind these decisions is essential for anyone looking to build a career in finance, banking, or quantitative analysis. This course demystifies the core mathematical concepts that drive modern financial systems, helping you build a strong analytical foundation from scratch. You will transition from grasping basic interest calculations to understanding complex financial instruments and modern portfolio theory. By working through clear, text-based explanations and step-by-step mathematical proofs, you will gain the confidence to analyze and solve real-world financial problems. What you'll learn: - Understand the foundational concepts of the time value of money, simple interest, and compound interest. - Calculate the present and future values of ordinary annuities, perpetuities, and varying cash flows. - Analyze bond pricing, yield to maturity, and the mathematical measures of interest rate risk like duration and convexity. - Apply mathematical models to evaluate investment projects using Net Present Value (NPV) and Internal Rate of Return (IRR). - Explore modern portfolio theory, risk-return trade-offs, and basic asset pricing models. - Practice solving financial equations using structured, step-by-step mathematical techniques. The course begins with fundamental definitions of interest and cash flows, ensuring you have a solid grasp of key terminology before moving on to annuities, amortization schedules, and capital budgeting techniques. Finally, you will explore how these mathematical models apply to modern financial markets and risk management. This course is designed for beginners, students, and aspiring professionals who want to understand the math behind finance. No prior background in advanced finance or calculus is required, as all mathematical concepts are introduced from the ground up. Start learning today and master the mathematical framework that powers the financial world.

Apa yang anda dapat

  • ๐Ÿ“œ Sijil tamat
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  • ๐Ÿ’ฌ Tutor AI peribadi
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  • ๐ŸŽง Termasuk versi audio
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  • โ™พ๏ธ Akses seumur hidup
    Kembali bila-bila masa, tiada tamat tempoh
  • ๐Ÿ“ฑ Telefon atau komputer
    Berfungsi di mana-mana, mana-mana peranti
  • ๐Ÿ’ธ Pulangan 14 hari
    Tanpa soalan
  • โšก Pendek dan fokus
    2 jam 48 min kandungan praktikal

Ulasan

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Tulis ulasan

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Soalan lazim

Apa yang saya perlukan untuk mengikuti kursus ini? +

Hanya telefon atau komputer dengan internet. Tiada pemasangan, tiada perkakasan khas.

Bagaimana untuk membayar? +

Dengan kad melalui Stripe. Kami tidak menyimpan butiran kad โ€” Stripe menguruskannya dengan selamat.

Bolehkah saya dapatkan bayaran balik? +

Ya โ€” pulangan penuh dalam 14 hari, tanpa soalan.

Berapa lama saya akan mempunyai akses? +

Selamanya. Setelah membeli, kursus adalah milik anda โ€” boleh lawat semula bila-bila masa.

Adakah saya akan mendapat sijil? +

Ya. Setelah tamat, anda akan menerima sijil yang boleh ditambah ke profil LinkedIn anda.

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