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Quantitative Risk Management Exam Practice · LearnSpace
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Quantitative Risk Management Exam Practice

Курс от EDUCBA
Уровень не указан≈ 7.7 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Master financial risk management concepts through practical FRM-style mock exam problem solving and quantitative analysis. Learn how to apply risk models, valuation frameworks, and financial market concepts used in professional risk management and FRM Level 1 preparation. This course provides a structured, exam-focused approach to financial risk analysis by combining core FRM concepts with hands-on mock exam practice. You’ll begin by exploring the foundations of financial risk management, including major risk categories, financial crises, and the quantitative tools used to analyze market and financial risk problems. As the course progresses, you’ll work through statistical modeling and financial market applications including regression analysis, arbitrage pricing, interest rate parity, and derivatives fundamentals. The course emphasizes analytical interpretation and practical problem-solving techniques used in FRM examinations and real-world financial analysis. Advanced modules focus on modern risk measurement and valuation techniques such as Value at Risk (VaR), Expected Shortfall, volatility modeling, interest rate modeling, yield curve strategies, and option pricing frameworks. Through mock exam scenarios and structured calculations, you’ll strengthen your ability to interpret quantitative outputs and evaluate financial instruments under different market conditions. What makes this course unique is its application-driven learning methodology that mirrors real FRM exam structures and professional risk analysis scenarios. By the end of the course, you’ll be able to solve quantitative finance problems confidently, apply financial risk models effectively, and improve your readiness for FRM Level 1 and financial risk management roles.

Навыки, которые вы освоите

Risk ManagementRegression AnalysisRisk ModelingStatistical AnalysisProbabilityPortfolio RiskMathematical ModelingProbability DistributionRisk AnalysisFinancial ModelingStatistical MethodsRisk Management FrameworkFinancial MarketDerivativesStatistical Modeling

Программа курса

3 модулей · 36 учебных материалов

01Understanding Risk Foundations & Quantitative Analysis14 материалов

FRM Risk Management Foundations

FRM L1 Exam Structure & Mock StrategyВидеоRisk Types & Risk Management BasicsВидеоMBS & Financial Crisis ConceptsВидеоFRM Risk Management FoundationsЗадание

Risk Governance & Historical Risk Events

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EDUCBA

Преподаватель курса

Quantitative Risk Management Exam Practice
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Обучение откроется на Coursera
в новой вкладке

Обучение на Coursera

≈ 7.7 ч

3 модулей

Язык: Английский

Часть программы вашего университета
Risk Data Aggregation PrinciplesВидео
Savings & Loan Crisis RisksВидео
Risk Governance & Historical Risk EventsЗадание

Quantitative Tools for Risk Analysis

Quant Basics & Exam ApproachВидеоPoisson Default ProbabilityВидеоFund Manager Performance EvaluationВидеоQuantitative Tools for Risk AnalysisЗаданиеAnalyzing Risk Management Foundations Through Mock Exam ScenariosDIALOGUEUnderstanding Risk Foundations & Quantitative AnalysisЗаданиеAssessing Risk Management Foundations in a Financial InstitutionDIALOGUE
02Statistical Analysis & Financial Market Applications10 материалов

Statistical Modeling in Risk Management

Regression & MulticollinearityВидеоHow to Use the Solution KeyВидеоStatistical Modeling in Risk ManagementЗадание

Pricing & Arbitrage in Financial Markets

Forward Pricing ArbitrageВидеоInterest Rate Parity & FXВидеоPricing & Arbitrage in Financial MarketsЗадание

Derivatives Pricing Concepts

Option Early Exercise LogicВидеоDuration, Convexity & FRAВидеоDerivatives Pricing ConceptsЗаданиеStatistical Analysis & Financial Market ApplicationsЗадание
03Risk Measurement & Advanced Valuation Strategies12 материалов

Market Risk Measurement Techniques

VaR and Expected ShortfallВидеоEWMA Volatility & CorrelationВидеоMarket Risk Measurement TechniquesЗадание

Interest Rate Modeling & Trading Strategies

Vasicek Interest Rate ModelВидеоYield Curve Trading StrategiesВидеоInterest Rate Modeling & Trading StrategiesЗадание

Hedging & Option Pricing Models

Key Rate Duration HedgingВидеоOption Greeks ConceptsВидеоBinomial Option PricingВидеоHedging & Option Pricing ModelsЗаданиеRisk Measurement & Advanced Valuation StrategiesЗаданиеEvaluating Financial Risk Using Mock Analysis StrategiesDIALOGUE