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Financial Risk Management and Market Analysis · LearnSpace
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Financial Risk Management and Market Analysis

Курс от EDUCBA
Уровень не указан≈ 22.4 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Master FRM Level 1 concepts and build practical financial risk management skills used in banking, investment, and quantitative finance. Learn how to analyze risk, evaluate derivatives, interpret futures markets, and apply quantitative tools with confidence. This course provides a structured and practical introduction to Financial Risk Management (FRM) concepts, helping learners understand the frameworks and analytical methods used by risk professionals in global financial institutions. You’ll begin by exploring the foundations of risk management, including Value at Risk (VaR), enterprise risk management, and the different types of financial risks such as credit, liquidity, operational, and strategic risk. As the course progresses, you’ll build quantitative finance skills through probability, statistics, covariance, correlation, and financial distribution analysis. The course also introduces derivatives markets, including forwards, futures, and options, while explaining how these instruments are used for hedging, speculation, and arbitrage strategies. Advanced modules focus on futures market mechanics, basis risk, interest rate analysis, bond pricing, yield curves, and forward market pricing. You’ll also learn advanced market concepts such as contango and backwardation and understand how these conditions influence futures pricing and trading strategies. What makes this course unique is its clear, exam-focused approach that simplifies complex FRM Level 1 topics while connecting theory to real-world financial market applications. By the end of the course, you’ll be able to confidently interpret financial risks, apply quantitative analysis tools, and evaluate derivatives and market conditions relevant to modern risk management and finance careers.

Навыки, которые вы освоите

Risk ManagementFutures ExchangeDerivativesFinancial TradingOperational RiskMarket LiquidityCredit RiskRisk MitigationCorrelation AnalysisProbability & StatisticsInvestment ManagementEnterprise Risk Management (ERM)ProbabilityMarket DynamicsFinancial MarketFinancial ServicesRisk Management FrameworkQuantitative ResearchRisk AnalysisFinancial Analysis

Программа курса

10 модулей · 134 учебных материалов

01Foundations of Risk Management15 материалов

Understanding Risk and Measurement Basics

Introduction to Foundations of Risk ManagementВидеоWhat is RiskВидеоTools and Procedure to MeasureВидеоUnderstanding Risk and Measurement BasicsЗадание

Statistical Foundations of Risk

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EDUCBA

Преподаватель курса

Financial Risk Management and Market Analysis
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Обучение на Coursera

≈ 22.4 ч

10 модулей

Язык: Английский

Часть программы вашего университета
Marginal Distribution on DeviationВидео
Objective of Risk ManagementВидео
Risk Management Helicopter ViewВидео
Statistical Foundations of RiskЗадание

Risk Management Process Deep Dive

Describe Risk Management ProcessВидеоIdentify Problems of RM ProcessВидеоIdentify Problems of RM Process ContinuesВидеоRisk Management Process Deep DiveЗадание Applying Risk Identification and VaR in a Real-World Risk Management ScenarioDIALOGUEFoundations of Risk ManagementЗаданиеLeading a Risk Management Review: Identifying, Measuring, and Addressing Core RisksDIALOGUE
02Measuring Risk and Enterprise Risk Management13 материалов

Quantitative Risk Measures

Quantitative Measures VaRВидеоIllustration of VaRВидеоStress TestingВидеоQuantitative Risk MeasuresЗадание

Enterprise Risk Perspective

Enterprise Risk ManagementВидеоUnexpected LossesВидеоRisk Reward Trade offВидеоEnterprise Risk PerspectiveЗадание

Risk vs Return in Financial Markets

Risk Reward Trade off ContinuesВидеоGovernment Bond and Corporate Bond YieldВидеоExamining Risk and Reward RelationshipВидеоRisk vs Return in Financial MarketsЗаданиеMeasuring Risk and Enterprise Risk ManagementЗадание
03Types and Classes of Risk13 материалов

Classification of Risks

Classes of RiskВидеоClasses of Risk ContinuesВидеоCredit RiskВидеоClassification of RisksЗадание

Credit Risk and Its Dimensions

Bankruptcy RiskВидеоDowngrade RiskВидеоDowngrade Risk ContinuesВидеоCredit Risk and Its DimensionsЗадание

Managing Credit and Settlement Risks

Settlement RiskВидеоSteps to Mitigate Credit RiskВидеоDiversificationВидеоManaging Credit and Settlement RisksЗаданиеTypes and Classes of RiskЗадание
04Operational, Liquidity, and Strategic Risks13 материалов

Liquidity and Operational Risk Overview

Liquidity RiskВидеоSub Types of Operational RiskВидеоBusiness RiskВидеоLiquidity and Operational Risk OverviewЗадание

Reputational and Strategic Risk Insights

Reputation RiskВидеоValue At RiskВидеоCalculation of VarВидеоReputational and Strategic Risk InsightsЗадание

Risk Review and Strategic Risks

RMH - Questions and AnswersВидеоStrategic RiskВидеоIntroduction Quantitative Analysis ProbabilitiesВидеоRisk Review and Strategic RisksЗаданиеOperational, Liquidity, and Strategic RisksЗадание
05Probability and Quantitative Foundations13 материалов

Basics of Probability Theory

Discrete ProbabilityВидеоIndependent EventsВидеоExampleВидеоBasics of Probability TheoryЗадание

Probability Applications and Summary

SummaryВидеоIntroduction to Quantitative AnalysisВидеоMeanВидеоProbability Applications and SummaryЗадание

Advanced Statistical Measures

Geometric Mean ExampleВидеоExpected ValueВидеоExpected Value PropertiesВидеоAdvanced Statistical MeasuresЗаданиеProbability and Quantitative FoundationsЗадание
06 Statistical Relationships and Moments13 материалов

Covariance and Correlation

Covariance ExplainedВидеоCorrelationВидеоMoments and Central MomentsВидеоCovariance and CorrelationЗадание

Higher-Order Statistical Concepts

Kurtosis Coskewness and CokurtosisВидеоIntroduction to Financial Markets and ProductsВидеоDerivative MarketsВидеоHigher-Order Statistical ConceptsЗадание

Introduction to Derivatives

Forward ContractВидеоFutures and OptionsВидеоFutures and Options ContinuesВидеоIntroduction to DerivativesЗаданиеStatistical Relationships and MomentsЗадание
07Derivatives and Risk Management Strategies13 материалов

Payoffs and Hedging Concepts

Payoff From Option and ForwardВидеоHedgingВидеоHedging Using ForwardsВидеоPayoffs and Hedging ConceptsЗадание

Options and Market Strategies

Hedging Using OptionsВидеоSpeculationВидеоArbitrageВидеоOptions and Market StrategiesЗадание

Futures Market Mechanics

Futures marketВидеоMarginВидеоUnderstanding ClearinghouseВидеоFutures Market MechanicsЗаданиеDerivatives and Risk Management StrategiesЗадание
08Futures, Hedging, and Market Risks13 материалов

Regulatory and Hedging Frameworks

Regulatory FrameworkВидеоHedging Strategies Using FuturesВидеоBasis RiskВидеоRegulatory and Hedging FrameworksЗадание

Managing Basis Risk

Sources of Basis RiskВидеоHedging with Stocks Index FuturesВидеоTailing the HedgeВидеоManaging Basis RiskЗадание

Advanced Hedging Techniques

Rolling Hedge ForwardВидеоWorking on ExampleВидеоInterest RatesВидео Advanced Hedging TechniquesЗаданиеFutures, Hedging, and Market RisksЗадание
09Interest Rate Fundamentals and Term Structure13 материалов

Interest Rate Basics

CompundingВидеоCompunding ContinuesВидеоSpot RatesВидеоInterest Rate BasicsЗадание

Yield Curve and Forward Rates

BootstrappingВидеоForward RateВидеоDurationВидеоYield Curve and Forward RatesЗадание

Duration and Term Structure Theories

Concept of DurationВидеоModified Duration and ConvexityВидеоTheories of Term StructureВидеоDuration and Term Structure TheoriesЗаданиеInterest Rate Fundamentals and Term StructureЗадание
10 Asset Pricing and Forward Markets15 материалов

Investment Assets and Pricing

Investment and Consumption AssetsВидеоForward Price for an Investment AssetВидеоValuing forward ContractsВидеоInvestment Assets and PricingЗадание

Futures and Market Practices

Forward Pricing and Known IncomeВидеоShort SellingВидеоCurrency and Commodity FuturesВидеоFutures and Market PracticesЗадание

Advanced Market Concepts

Currency and Commodity FeaturesВидеоDelivery OptionsВидеоContango and BackwardationВидеоExample of Investment AssetsВидеоAdvanced Market ConceptsЗаданиеAsset Pricing and Forward MarketsЗаданиеManaging a Financial Risk Briefing: VaR, ERM, Hedging, and Market Risk Decisions
DIALOGUE