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Market Risk, VaR and Portfolio Management Mastery · LearnSpace
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Market Risk, VaR and Portfolio Management Mastery

Курс от EDUCBA
Уровень не указан≈ 19.5 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Master Market Risk, VaR, and Portfolio Management for real-world finance and FRM Level II success. Learn how to measure, manage, and apply risk in investment decision-making. This course provides a comprehensive and practical understanding of market risk and investment management, aligned with FRM Level II concepts. You will begin by learning how to measure risk using tools like Value at Risk (VaR) and Expected Shortfall, and then move into advanced topics such as term structure modeling, factor investing, and portfolio sensitivity analysis. The course bridges theory and application by guiding you through portfolio construction, risk budgeting, and performance evaluation using real-world frameworks. You will also explore hedge fund strategies and due diligence processes to understand how professional asset managers operate. By the end of this course, you will be able to analyze risk exposures, build optimized portfolios, and evaluate investment performance using industry-standard techniques—equipping you with the skills needed for careers in risk management, asset management, and quantitative finance.

Навыки, которые вы освоите

Portfolio ManagementRisk ManagementRisk ModelingPortfolio RiskPerformance MeasurementDue DiligencePerformance AnalysisFinanceFinancial MarketMarket LiquidityInvestment ManagementAnalysisRisk AnalysisDecision MakingFinancial ModelingBudgetingRisk Management FrameworkInvestmentsAsset Management

Программа курса

8 модулей · 109 учебных материалов

01Foundations of Market Risk15 материалов

Understanding Market Risk Basics

Introduction to Market RiskВидеоMeasure Market RiskВидеоExpected ShortfallВидеоUnderstanding Market Risk BasicsЗадание

Parametric Risk Modeling

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EDUCBA

Преподаватель курса

Market Risk, VaR and Portfolio Management Mastery
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Обучение на Coursera

≈ 19.5 ч

8 модулей

Язык: Английский

Часть программы вашего университета
Parametric ApproachesВидео
Advantages and Disadvantages of Parametric ApproachesВидео
Basel CommitteeВидео
Parametric Risk ModelingЗадание

Regulatory & VaR Framework

Type 1 and Type 2 ErrorВидеоVAR MappingВидеоVAR ImplementationВидеоRegulatory & VaR FrameworkЗаданиеApplying VaR & Expected Shortfall in Real Market Risk DecisionsDIALOGUEFoundations of Market RiskЗаданиеApplying VaR and Expected Shortfall for Market Risk DecisionsDIALOGUE
02Interest Rate & Term Structure Risk13 материалов

Term Structure Fundamentals

Intro to Science of Term StructureВидеоProbabilityВидеоOAS SpreadВидеоTerm Structure FundamentalsЗадание

Dynamics of Interest Rates

Evolution of Short RatesВидеоThe Shape of the Term StructureВидеоIntroduction to Factor TheoryВидеоDynamics of Interest RatesЗадание

Factor-Based Pricing Foundations

Capital Asset Pricing ModelВидеоShortcomings CAPM and Multi Factor ModelsВидеоStochastic Discount FactorsВидеоFactor-Based Pricing FoundationsЗаданиеInterest Rate & Term Structure RiskЗадание
03Factor Investing & Market Efficiency13 материалов

Market Efficiency & Factor Basics

Efficient Market TheoryВидеоFactor Theory Practice QuestionsВидеоIntroduction to Value InvestingВидеоMarket Efficiency & Factor BasicsЗадание

Macro & Behavioral Factors

Macroeconomic Risk FactorsВидеоManaging Volatility RiskВидеоTheories Behind Value PremiumВидеоMacro & Behavioral FactorsЗадание

Advanced Factor Strategies

Momentum Investing StrategyВидеоFactors Practice QuestionВидеоIntroduction to Alpha and Tracking ErrorВидеоAdvanced Factor StrategiesЗаданиеFactor Investing & Market EfficiencyЗадание
04Portfolio Sensitivity & Factor Exposure13 материалов

Benchmarking & Sensitivity

Impact of Benchmark SelectionВидеоFactor Regression and Portfolio SensitivityВидеоMeasurement of Time Varying Factor ExposuresВидеоBenchmarking & SensitivityЗадание

Risk Anomalies & Illiquidity

Potential Explanations for Risk AnomalyВидеоIntroduction to illiquid AssetВидеоRelationship Between Market Imperfections and illiquidityВидеоRisk Anomalies & IlliquidityЗадание

Illiquidity Premium

Illiquidity PremiumsВидеоIlliquidity premiums ContinuesВидеоPractice QuestionВидеоIlliquidity PremiumЗаданиеPortfolio Sensitivity & Factor ExposureЗадание
05Portfolio Construction & Risk Analytics13 материалов

Portfolio Construction Basics

Introduction to Portfolio ConstructionВидеоNeutralizationВидеоPortfolio Revisions and RebalancingВидеоPortfolio Construction BasicsЗадание

Portfolio Behavior & Risk

Portfolio Return DispersionВидеоIntroduction to Portfolio Risk - Analytical MethodВидеоRole of Correlation on Portfolio RiskВидеоPortfolio Behavior & RiskЗадание

VaR-Based Portfolio Risk

Marginal VaR and Incremental VaRВидеоComponent VaR and Managing Portfolio using VaRВидеоDifferences Risk Management and Portfolio ManagementВидеоVaR-Based Portfolio RiskЗаданиеPortfolio Construction & Risk AnalyticsЗадание
06Risk Budgeting & Risk Control13 материалов

Risk Budgeting Fundamentals

VaR and Risk Budgeting in Investment Management Practice QSВидеоIntroduction to Risk BudgetingВидеоTypes of RiskВидеоRisk Budgeting FundamentalsЗадание

Risk Classification & Monitoring

Types of Risk ContinuesВидеоMonitoring RiskВидеоRisk Budgeting ProcessВидеоRisk Classification & MonitoringЗадание

Applied Risk Budgeting

VaR and Risk Budgeting in Investment Management Practice QSВидеоIntroduction to Risk Monitoring and Performance MeasurementВидеоRisk PlanningВидеоApplied Risk BudgetingЗаданиеRisk Budgeting & Risk ControlЗадание
07Performance Measurement & Evaluation13 материалов

Risk Monitoring Framework

Objective and Action of RMUВидеоObjectives of Performance MeasurementВидеоRisk Monitoring and Performance Measurement Practice QSВидеоRisk Monitoring FrameworkЗадание

Performance Metrics

Introduction to Portfolio Performance EvaluationВидеоRisk Adjusted Performance MeasuresВидеоInformation Ratio and Appraisal RatioВидеоPerformance MetricsЗадание

Advanced Evaluation Techniques

Practice QS on Risk MeasuresВидеоDynamic Risk LevelsВидеоTiming AbilityВидеоAdvanced Evaluation TechniquesЗаданиеUntiPerformance Measurement & EvaluationtledЗадание
08Advanced Topics: Hedge Funds & Due Diligence16 материалов

Style & Performance Analysis

Style AnalysisВидеоPortfolio Performance Evaluation Practice QSВидеоIntroduction to Hedge FundsВидеоStyle & Performance AnalysisЗадание

Hedge Fund Strategies

Relationship Between Risk and Alpha in Hedge FundsВидеоHedge Fund StrategiesВидеоPerformance Trend of Hedge FundsВидеоHedge Fund StrategiesЗадание

Due Diligence & Manager Selection

Hedge Funds Practice QSВидеоIntroduction to Performing Due Diligence on Specific Managers and FundsВидеоManager EvaluationВидеоOperational Due DiligenceВидеоPerforming Due Diligence on Specific Managers and Funds Practice QSВидеоDue Diligence & Manager SelectionЗадание
Advanced Topics — Hedge Funds & Due DiligenceЗадание
Managing Market Risk and Portfolio Decisions Using VaR and Factor AnalysisDIALOGUE