Introduction to R
Master 1 – Risk, Insurance and Decision
Applied Econometrics
Master 1 – Big Data, Analysis and Business Intelligence
Times series
Master 1 – Economic Development, International and Sustainable Finance & Master 1 – Risk, Insurance and Decision
Financial Econometrics
Master 1 – Economic Development, International and Sustainable Finance
Financial Regulation and Risk Measurement
Master 2 – Risk, Insurance and Decision
Introduction to Portfolio Management
Master 1 – Commercial Careers in Insurance (2022-2023)
Université de Lorraine
Descriptive Statistics
1st Year (2016, 2017, 2018)
Inferential Statistics
2nd Year (2016, 2017)
Financial Markets and Assets
3rd Year (2018, 2019)
Macroeconomics
2nd Year (2018, 2019)
Test Theory
3rd Year in Economics (2018)
Econometrics of Qualitative Variables
Master in Applied Economics (2019)