This module will provide students with a general understanding of current applications of data analytics to finance and in particular to derivatives and investment banking. It will introduce a range of analytical tools such as volatility surface management, yield curve evolution and FX volatility/correlation management. It will also provide you with an overview of some standard tools in the field such as Python, R, Excel/VBA and the Power BI Excel functionality. Students are not expected to have any familiarity with coding or any of the topics above, as the module will develop these from scratch. It will provide you with the understanding of a field necessary to prepare for a career in finance in roles such as trading, structuring, management, risk management and quantitative positions in investment banks and hedge funds.

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