IIT-Kanpur introduces master's course on quantitative finance and risk management

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The degree's real-world curriculum consists of ten modules, including economics fundamentals, complex derivatives, big data analysis, treasury, and credit risk management
IIT-Kanpur introduces master's course on quantitative finance and risk  management
Finance and Analytics Club, IIT Kanpur
IIT-Kanpur introduces master's course on quantitative finance and risk  management
Masters in Quantitative Finance & Risk Management
IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
Swatantra Kumar - Assistant General Manager - Reserve Bank of India (RBI)
IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
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IIT-Kanpur introduces master's course on quantitative finance and risk  management
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