1Section 1: Quantitative Methods
12Introduction to Big Data Techniques
2Rates and Returns
13Section 2: Economics
3Time Value of Money in Finance
14The Firm and Market Structures
4Statistical Measures of Asset Returns
15Understanding Business Cycles
5Probability Trees and Conditional Expectations
16Fiscal Policy
6Portfolio Mathematics
17Monetary Policy
7Simulation Methods
18Introduction to Geopolitics
8Estimation and Inference
19International Trade
9Hypothesis Testing
20Capital Flows and the FX Market
10Parametric and Non-Parametric Tests of Independence
21Exchange Rate Calculations
11Simple Linear Regression
22About Author