FORMATION EN FINANCE QUANTITATIVE


La finance quantitative est une discipline qui se situe à la confluence des mathématiques, de la statistique, de l'informatique et, bien entendu, de la finance traditionnelle.


Elle englobe des méthodes avancées d'analyse, de modélisation et de simulation destinées à résoudre des problématiques financières complexes aux champs d’application multiples: gestion des risques, modélisation financière (pricing des options à la prédiction des taux d'intérêt), optimisation en matière de gestion d’actifs. 

     
Nos formations en finance quantitative s'adressent à tous ceux qui cherchent à affiner et développer les connaissances professionnelles incontournables à acquérir dans ce domaine.


Les fondamentaux de la finance quantitative


About the Author

 

 Florian Campuzan is a graduate of Sciences Po Paris (Economic and Financial section) with a degree in Economics (Money and Finance). A CFA charterholder, he began his career in private equity and venture capital as an investment manager at Natixis before transitioning to market finance as a proprietary trader.

 

In the early 2010s, Florian founded Finance Tutoring, a specialized firm offering training and consulting in market and corporate finance. With over 12 years of experience, he has led finance training programs, advised financial institutions and industrial groups on risk management, and prepared candidates for the CFA exams.

 

Passionate about quantitative finance and the application of mathematics, Florian is dedicated to making complex concepts intuitive and accessible. He believes that mastering any topic begins with understanding its core intuition, enabling professionals and students alike to build a strong foundation for success.