Quantitative Finance and Investment Quantitative Finance (QFIQF) Exam
Overview
The Quantitative Finance and Investment Quantitative Finance (QFIQF) Exam assesses candidates' understanding of quantitative finance, including tools and techniques for modeling the term structure of interest rates, standard yield curve models, and interest rate risk. Candidates also demonstrate applying the standard models for pricing financial derivatives, option pricing theory, and how to evaluate risk exposures and the issues in hedging them.
How Should I Study?
To study for the Quantitative Finance and Investment Quantitative Finance (QFIQF) Exam, start with the applicable syllabus and continue with the other materials on the study page.