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Analysis, Budgeting, and Risk Management · LearnSpace
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Analysis, Budgeting, and Risk Management

Курс от Coursera
Средний≈ 18.8 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Evaluate investments, manage financial risk, build operating budgets, and guide capital allocation decisions. In this course, you’ll develop the analytical skills financial analysts use to support strategic and risk-aware business decisions. You’ll differentiate asset classes such as stocks, bonds, mutual funds, and ETFs, and assess their risk and liquidity characteristics. You’ll calculate Value at Risk (VaR) using historical simulation methods and apply risk matrices to evaluate market, operational, and regulatory exposure. You’ll also create operating budgets using inflation adjustments and define SMART KPIs to measure financial performance. Finally, you’ll analyze economic signals and assess capital investment opportunities using risk-adjusted returns and scenario modeling. What makes this course unique is its integration of budgeting, investment analysis, and quantitative risk measurement. The course concludes with a portfolio-ready project where you evaluate a capital investment opportunity and present a risk-adjusted recommendation.

Навыки, которые вы освоите

Risk ManagementCapital BudgetingRisk AnalysisFinancial AnalysisBudgetingFinancial ModelingKey Performance Indicators (KPIs)Smart GoalsAsset ManagementPortfolio RiskPortfolio ManagementFinancial ForecastingEquitiesOperating BudgetCapital ExpenditurePerformance MeasurementRisk Management FrameworkReturn On InvestmentRisk ModelingInvestments

Программа курса

17 модулей · 108 учебных материалов

01Investments: Differentiate & Allocate Assets: Know Your Instruments: Stocks, Bonds, Funds & ETFs7 материалов
Welcome to the Course: Your Investment MindsetDIALOGUEIntroduction and WelcomeВидеоWhy Different Assets ExistВидеоBreaking Down Stocks, Bonds, Funds, and ETFsВидео

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Professionals from the Industry

Преподаватель курса

Analysis, Budgeting, and Risk Management
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Обучение откроется на Coursera
в новой вкладке

Обучение на Coursera

≈ 18.8 ч

17 модулей

Язык: Английский

Субтитры: Арабский, Французский, Итальянский, Бразильский португальский, Корейский, Немецкий, Пушту, Испанский, Дари, Японский

Часть программы вашего университета
Physical vs Synthetic ETFsЧтение
Hands-on Activity: Client-Profiling Simulation: Summarize InstrumentsЗадание
What Would You Recommend and Why?DIALOGUE
02Investments: Differentiate & Allocate Assets: Visualize the Mix: Creating a Pie Chart for Asset Allocation6 материалов
Why Visualization Matters in FinanceВидеоBuilding a Pie Chart Step by Step (Excel or Sheets)ВидеоData Analytics and Visualization in the AuditЧтениеHands-on Activity: Mock Client Presentation: Show Your ChartЗаданиеHow Did Your Visualization Tell the Story?DIALOGUEInvestment Scenario Quiz – Differentiate & Allocate AssetsЗадание
03Classify Financial Services: Apply Your Skills: Understanding Core Financial Services7 материалов
Why Classification Matters in FinanceDIALOGUEIntroduction and WelcomeВидеоWhat Are the Three Pillars of Finance?ВидеоUnderstanding Financial Service CategoriesЧтениеInside the Institutions: How Banking Divisions Work TogetherВидеоHands-on Activity: Classification Warm-Up: Identify the FunctionЗаданиеWhen Do These Roles Overlap?DIALOGUE
04Classify Financial Services: Apply Your Skills: Applying Classification Criteria 6 материалов
How Analysts Classify Financial ServicesВидеоApplying Criteria to Real ScenariosЧтениеThinking Like an Analyst: Avoiding Common MisclassificationsВидеоHands-on Activtiy: Client Case ClassifierЗаданиеDesigning for FlexibilityDIALOGUEClassification Mastery CheckЗадание
05Calculate VaR: Market Risk Measurement: Understanding the Purpose and Limitations of VaR7 материалов

Understanding the Purpose and Limitations of VaR

Why Measure Risk?DIALOGUEIntroduction and WelcomeВидеоWhy VaR Matters: The Common Language of RiskВидеоThe Purpose and Pitfalls of VaRЧтениеComparing VaR Methods: Parametric vs. Historical vs. Monte CarloВидеоHands-on Activity: Explain VaR to a ColleagueЗаданиеHow Do You Communicate Risk?DIALOGUE
06Calculate VaR: Market Risk Measurement: Applying Historical Simulation to Calculate VaR 6 материалов
How to Calculate VaR with Historical SimulationВидеоHistorical Simulation: Simple but PowerfulЧтениеUnderstanding the VaR Output: What the Numbers Really MeanВидеоHands-on Activity: Create a Weekly VaR DashboardЗаданиеWhat Did Your Outliers Reveal?DIALOGUEGraded Quiz: Measure and Interpret Value at RiskЗадание
07Budgeting: Apply Inflation & Approaches: Budgeting Approaches and Their Use7 материалов
How Do You Approach Budget Planning?DIALOGUEIntroduction and WelcomeВидеоWhy Budgeting Methods MatterВидеоThree Common Budgeting Approaches ExplainedЧтениеComparing Budgeting Approaches in ActionВидеоHands-on Activity: Select the Right ApproachЗаданиеWhich Budgeting Approach Fits Your Role?DIALOGUE
08Budgeting: Apply Inflation & Approaches: Applying Inflation to an Operating Budget 6 материалов
Why Inflation Matters in BudgetingВидеоCalculating Inflation Factors for Budget PlanningЧтениеUpdating an Operating Budget SpreadsheetВидеоHands-on Activity: Inflation Adjustment PracticeЗаданиеWhat Changed After Inflation?DIALOGUEFinal Graded QuizЗадание
09Define SMART KPIs: Measure Business Success: The SMART Framework — What It Really Means 6 материалов
Why SMART KPIs MatterDIALOGUEIntroduction and WelcomeВидеоSetting SMART KPIs: The Foundation of SuccessВидеоBreaking Down SMART Goals in FinanceЧтениеHands-on Activity: Brief Your Intern: Explain SMART GuidelinesЗаданиеWhich KPI Gaps Have You Noticed?DIALOGUE
10Define SMART KPIs: Measure Business Success: Defining Treasury KPIs Using SMART 6 материалов
Turning SMART Goals into Treasury KPIsВидеоFrom Goals to Dashboards: Measuring What MattersЧтениеInterpreting KPI Data for Decision-MakingВидеоHands-on Activity: Enter KPIs into a Performance SheetЗаданиеWhat Makes a KPI Sustainable?DIALOGUEGraded Quiz: Measure What You ManageЗадание
11Analyze Economic Signals for Financial Success: Decode Interest-Rate Curves to Refine Financial Forecasts8 материалов
Reading the Market’s PulseDIALOGUEIntroduction and WelcomeВидеоWhat Yield Curves Reveal About Borrowing CostsВидеоYield Curves and Corporate Financing CostsЧтениеCase Example — Forecasting Interest Expense Using Curve TrendsВидеоHands-on Activity: Correlate Curve Changes with Borrowing CostsЗаданиеHow Would You Explain Rate Impacts to a CFO?DIALOGUEAdjust Forecast Based on Rate ShiftsЗадание
12Analyze Economic Signals for Financial Success: Use Economic Indicators to Predict Revenue Trends6 материалов
Why Economic Indicators Matter for ForecastingВидеоUnderstanding PMI, CPI, and Consumer Confidence ReportsЧтениеInterpreting Indicator MovementsВидеоHands-on Activity: Analyze and Summarize Market IndicatorsЗаданиеConnecting Macro Data to Your Business ForecastDIALOGUEGraded Quiz: Forecasting Implications — Flattening Yield CurveЗадание
13Assess Financial Deals & Manage Risk: Evaluate Financial Deals Using Modeling Techniques6 материалов
Introduction and WelcomeВидеоYour Analyst Mindset: What Makes a Deal “Good”?DIALOGUEThe Analyst’s Toolkit: Financial EssentialsВидеоUnderstanding Key Value Drivers in Investment ModelsЧтениеHands-on Activity: Build a 3-Year Cash-Flow ModelЗаданиеModel Checkpoint: What Drives the Most Value in Your Model?DIALOGUE
14Assess Financial Deals & Manage Risk: Manage and Mitigate Investment Risks6 материалов
Seeing the Full Picture: Why Risk Analysis MattersВидеоHow to Use a Risk Matrix to Quantify UncertaintyЧтениеCommon Pitfalls in Risk AssessmentВидеоHands-on Activity: Develop a Risk Register for the Target CompanyЗаданиеRisk Reflection: Which Risk Surprised You Most?DIALOGUEGraded Quiz: Assess Financial Deals & Manage RiskЗадание
15Analyze and Guide Capital Investments: Measuring Investment Efficiency 8 материалов
A Time Risk Outweighed ReturnDIALOGUEIntroduction and WelcomeВидеоSharpe Ratio: Balancing Risk and RewardВидеоWhat the Sharpe Ratio Really MeasuresЧтениеCase: Comparing Two ETFsВидеоHands-on Activity: Sharpe Ratio in Sheets PracticeЗаданиеReading Risk-Adjusted ResultsЧтениеTurning Sharpe Ratios Into Stakeholder RecommendationsDIALOGUE
16Analyze and Guide Capital Investments: Building Resilient Scenarios7 материалов
Toughest “What If” DecisionВидеоPlanning for Upside and DownsideВидеоStructuring Useful ScenariosЧтениеHands-on Activity: Build a Three-Case IRR ModelЗаданиеSensitivity Demo: Inputs to InsightВидеоAvoiding Forecasting PitfallsDIALOGUEGraded Assessment: Capital Investment ChallengeЗадание
17Project: Evaluate a Capital Investment Opportunity and Present a Risk-Adjusted Recommendation 3 материалов
Why This Project MattersЧтениеInvestment DataЧтениеEvaluate a Capital Investment Opportunity and Present a Risk-Adjusted Recommendation Задание