PSTAT 177
Financial Market Risk and Modeling
University of California Santa Barbara · UGRD · Fall 2026
1 section
Catalog description
Modern financial markets, interest rate risk and its effect on government bonds, corporate bonds, other fixed income investments and equities. Financial market data analysis, calibration and validation. Some additional topics from among mortgage-backed securities, corporate credit risk, inflation-indexed bonds and swaptions.
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Availability not recently verifiedClass #california_santa_barbara-9436Fall 2026UGRD
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