Useful quantitative models help you to make informed decisions both in situations in which the factors affecting your decision are clear, as well as in situations in which some important factors are not clear at all. In this course, you can learn how to create quantitative models to reflect complex realities, and how to include in your model elements of risk and uncertainty. You’ll also learn the methods for creating predictive models for identifying optimal choices; and how those choices change in response to changes in the model’s assumptions. You’ll also learn the basics of the measurement and management of risk. By the end of this course, you’ll be able to build your own models with your own data, so that you can begin making data-informed decisions. You’ll also be prepared for the next course in the Specialization.
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课程信息
您将获得的技能
- Modeling
- Risk
- Microsoft Excel
- Simulation
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授课大纲 - 您将从这门课程中学到什么
Week 1: Modeling Decisions in Low Uncertainty Settings
Week 2: Risk and Reward: Modeling High Uncertainty Settings
Week 3: Choosing Distributions that Fit Your Data
Week 4: Balancing Risk and Reward Using Simulation
审阅
- 5 stars70.85%
- 4 stars21.52%
- 3 stars5.85%
- 2 stars1.16%
- 1 star0.60%
来自MODELING RISK AND REALITIES的热门评论
Through this course, I could learn to connect data and decisions using spreadsheets. I built models and used them to make decisions in uncertain business settings. The course was good.
4 starts only because Week 3 lecturer is not good at all. hard to follow, leaves things on slides unexplained. throws bunch of formulas forever without showing it in excel.
Excellent orientation on risk and modelling. Both instructors were clear, articulate and well-organized. The modules , examples and quizzes reinforced the learning.
Really great course! Learnt a lot, more than promised by the course description. The course instructors are really good and very articulate. Thoroughly pleased with the course!
关于 商业与金融建模 专项课程

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