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Corporate Finance Institute

Modeling Risk with Monte Carlo Simulation

via Corporate Finance Institute

Overview

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In this course, you’ll learn how to quantify and model uncertainty by using Monte Carlo simulation.

Traditional scenario analysis relies on 2 or 3 “best case” or “worst case” situations that are rarely scientific in nature. Businesses can benefit greatly from improved modeling of risk and uncertainty, by using even basic Monte Carlo simulation.

Using this technique, we can quantify and simulate scenarios that include multiple uncertainties at the same time.

This course will start from the basics, and work through five scenarios that will help you master the basics of Monte Carlo Simulation.

Using these scenarios, you’ll learn how to quantify uncertain scenarios in a more meaningful way to help make business decisions.

Modeling Risk with Monte Carlo Simulation learning objectives

Upon completing this course, you will be able to:

  • Explain the main concepts of Monte Carlo simulation
  • Use historical observations to estimate the probability distributions of data
  • Simulate many possible outcomes of uncertain variables using Python
  • Summarize the distribution of scenarios using confidence intervals
  • Interpret the output of Monte Carlo simulation results and use it to guide business decisions

Who should take this course?

Business Intelligence derives value from descriptive, backward-looking metrics. To provide the next level of value we must start to consider future scenarios. Modeling uncertainty and scenarios is a key part of this forward-looking skillset, and this Monte Carlo course is a perfect introduction to that world.

Syllabus

  • Monte Carlo Simulation Introduction
  • Coin Flipping Example
  • Stock Price Prediction
  • Value at Risk Assessment
  • Net Income Forecast
  • Capital Investment (NPV) Forecasting
  • Qualified Assessment

Taught by

Lester Leong

Reviews

5 rating at Corporate Finance Institute based on 76 ratings

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