One-to-one support for LSE's Quantitative Methods for Finance module, with help understanding the main ideas, keeping up with the work, and preparing confidently for assessments.
Develops quantitative tools used in finance, including probability, optimisation, and statistical modelling. Applications include portfolio analysis, risk measurement, and empirical finance.
Our tutoring for FM102 is designed to make the module feel more manageable. Sessions can focus on clarifying lecture material, rebuilding foundations, working through problem sets, case work, modelling tasks and exam preparation, and developing a clearer strategy for revision and assessed work. The aim is to help students understand the module deeply enough to apply the material independently, not just memorise model answers.
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