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Analyze & Apply Duration Gap Risk Strategies · LearnSpace
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Analyze & Apply Duration Gap Risk Strategies

Курс от EDUCBA
Уровень не указан≈ 4.8 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Learners will analyze duration and price volatility, evaluate duration gap and Economic Value of Equity (EVE), and apply derivative-based hedging strategies to manage interest rate risk. By the end of this course, learners will be able to calculate Macaulay and modified duration, interpret reinvestment and price risk, assess balance sheet sensitivity, and implement futures, Forward Rate Agreements (FRAs), and interest rate swaps to stabilize financial performance. This course equips banking and finance professionals with practical asset-liability management tools used in real-world risk management. Through structured explanations and applied examples, learners gain the ability to connect duration gap theory with portfolio-level hedging decisions and derivative applications. What makes this course unique is its integrated approach: it bridges duration gap analytics with hands-on hedging strategies using Eurodollar futures, FRAs, and swaps—moving beyond theory into actionable financial risk management techniques. Whether managing Economic Value of Equity or stabilizing net interest income, learners develop decision-ready skills applicable in banking, treasury, and financial risk management roles.

Навыки, которые вы освоите

Risk ManagementDerivativesGap AnalysisBalance SheetRisk AnalysisPortfolio ManagementFinancial AnalysisRisk MitigationFutures ExchangeAsset ManagementCommercial BankingBankingFinancial ServicesPortfolio Risk

Программа курса

2 модулей · 20 учебных материалов

01Foundations of Duration & Interest Rate Risk12 материалов

Understanding Duration & Price Sensitivity

Introduction to Duration Gap AnalysisВидеоDuration and Price VolatilityВидеоUnderstanding Duration & Price SensitivityЗадание

The Duration Gap Framework

Duration Gap ModelВидео

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EDUCBA

Преподаватель курса

Analyze & Apply Duration Gap Risk Strategies
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Обучение на Coursera

≈ 4.8 ч

2 модулей

Язык: Английский

Часть программы вашего университета
DGAP SummaryВидео
The Duration Gap FrameworkЗадание

Applying Duration Gap in Market Decisions

Speculating on Duration Gap and ExampleВидеоManage Intrest Risk And Types of TraderВидеоApplying Duration Gap in Market DecisionsЗаданиеImmunizing Bank Equity with Duration Gap AnalysisDIALOGUEGraded-Foundations of Duration & Interest Rate RiskЗаданиеManaging Duration Gap and Interest Rate Exposure in Asset-Liability DecisionsDIALOGUE
02Advanced Hedging & Derivative Applications8 материалов

Hedging with Money Market Instruments

Eurodollar Features and Steps of HedgingВидеоMore on Risk nad Cross HedgingВидеоHedging with Money Market InstrumentsЗадание

Advanced Interest Rate Derivatives

Forward Rate Agreement and National PrincipalВидеоBasic Intrest Rate SwapВидеоAdvanced Interest Rate DerivativesЗаданиеGraded-Advanced Hedging & Derivative ApplicationsЗаданиеStabilizing Economic Value of Equity Using Duration Gap and Interest Rate HedgingDIALOGUE