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Risk Management and Futures Market Analysis · LearnSpace
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Risk Management and Futures Market Analysis

Курс от EDUCBA
Уровень не указан≈ 16.7 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Learn how financial institutions measure risk, apply hedging strategies, and analyze derivatives markets using modern financial risk management techniques. Develop practical skills in stress testing, futures pricing, options analysis, and structured finance evaluation. This course provides a comprehensive introduction to financial risk models and derivatives market analysis used in banking, investment management, and risk management functions. You’ll begin by exploring risk measurement frameworks including stress testing, scenario analysis, valuation models, and regulatory approaches used to monitor market exposure and financial stability. As the course progresses, you’ll learn how financial institutions manage interest rate and portfolio risk using duration, DV01, hedge ratios, and derivative instruments. The course also explains practical hedging techniques and how futures and options contracts are used to mitigate market uncertainty and support investment strategies. Advanced modules focus on derivatives pricing, arbitrage mechanisms, market participants, clearinghouses, and counterparty risk management. You’ll also examine options payoff structures, commodity market behavior, and structured finance products such as mortgage-backed securities to understand how complex financial instruments are modeled and evaluated. What makes this course unique is its integration of theoretical financial risk models with practical derivatives market applications. By the end of the course, you’ll be able to analyze market risk exposure, evaluate hedging strategies, interpret derivatives pricing mechanisms, and understand how modern financial institutions manage uncertainty in global financial markets.

Навыки, которые вы освоите

DerivativesRisk ManagementFutures ExchangeMarket DynamicsPerformance Stress TestingRisk ModelingRisk AnalysisPortfolio ManagementEnterprise Risk Management (ERM)Risk Management FrameworkCredit RiskCapital MarketsSecurities (Finance)Financial ModelingFinancial MarketRisk MitigationPortfolio RiskFinancial Regulations

Программа курса

7 модулей · 87 учебных материалов

01Foundations of Risk Measurement and Valuation12 материалов

Core Concepts of Risk Models

Introduction to Valuation and Risk ModelsВидеоES and Stress TestingВидеоCore Concepts of Risk ModelsЗадание

Scenario Analysis and Governance in Risk

Scenario BuildingВидео

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EDUCBA

Преподаватель курса

Risk Management and Futures Market Analysis
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Обучение на Coursera

≈ 16.7 ч

7 модулей

Язык: Английский

Часть программы вашего университета
Regulations and GovernanceВидео
Scenario Analysis and Governance in RiskЗадание

Interest Rate Risk Basics

Understanding DV01ВидеоDV01 HedgingВидеоInterest Rate Risk BasicsЗаданиеEvaluating Portfolio Risk Using Stress Testing and DV01DIALOGUEGraded - Foundations of Risk Measurement and ValuationЗаданиеEvaluating Market Risk Using Valuation Models and Stress TestingDIALOGUE
02Hedging and Risk Sensitivity Analysis11 материалов

Building Effective Hedging Strategies

Hedging StrategiesВидеоPrincipal Component AnalysisВидеоBuilding Effective Hedging StrategiesЗадание

Duration and Risk Sensitivity

Duration and DV01ВидеоIntroduction to Foundations of Risk ManagementВидеоDuration and Risk SensitivityЗадание

Asset Pricing Foundations

Arbitrage Pricing Theory AssumptionsВидеоFama and French ModelВидеоFama and French Model ContinuedВидеоAsset Pricing FoundationsЗаданиеGradede - Hedging and Risk Sensitivity AnalysisЗадание
03Strategic Risk Management and ERM12 материалов

Making Effective Hedging Decisions

Hedging DecisionsВидеоPrincipals Part 1ВидеоPrincipals Part 2ВидеоMaking Effective Hedging DecisionsЗадание

Risk Management Principles

Principals Part 3ВидеоBenefits of ERMВидеоRisk Management PrinciplesЗадание

Enterprise Risk Management Framework

ERM DimensionsВидеоERM CultureВидеоERM Culture ContinueВидеоEnterprise Risk Management FrameworkЗаданиеGraded - Strategic Risk Management and ERMЗадание
04Scenario Analysis and Market Foundations12 материалов

Advanced Scenario and Behavioral Risk

Scenario AnalysisВидеоBehavioral ConceptsВидеоAdvanced Scenario and Behavioral RiskЗадание

Overview of Financial Markets and Instruments

Introduction to Financial Market and ProductsВидеоDerivatives OptionsВидеоDerivatives Options ContinuedВидеоOverview of Financial Markets and InstrumentsЗадание

Futures, Forwards and Exotic Instruments

Futures and ForwardsВидеоExoticsВидеоMarketsВидеоFutures, Forwards and Exotic InstrumentsЗаданиеGraded - Scenario Analysis and Market FoundationsЗадание
05Derivatives Payoffs and Market Infrastructure10 материалов

Understanding Derivatives Payoffs

Futures and Forwards PayoffВидеоOptions PayoffВидеоUnderstanding Derivatives PayoffsЗадание

Market Participants and Counterparties

Market ParticipantsВидеоTransactions CounterepartiesВидеоMarket Participants and CounterpartiesЗадание

Clearinghouses and Risk Reduction

Benefits of CCPsВидеоBenefits of CCPs ContinuedВидеоClearinghouses and Risk ReductionЗаданиеGraded - Derivatives Payoffs and Market InfrastructureЗадание
06Practical Hedging and Futures Pricing11 материалов

Hedging Techniques and Tradeoffs

Long and Short HedgingВидеоPros and Cons of HedgingВидеоHedging Techniques and TradeoffsЗадание

Hedge Optimization and Equity Risk

Optimal Hedge RatioВидеоEquity HedgingВидеоHedge Optimization and Equity RiskЗадание

Futures Pricing and Arbitrage

Valuation of FuturesВидеоArbitrage ActivityВидеоForwards vs Future PricingВидеоFutures Pricing and ArbitrageЗаданиеGraded - Practical Hedging and Futures PricingЗадание
07Options, Commodity Markets and Structured Products19 материалов

Commodity Markets and Futures Dynamics

Commodity MarketsВидеоFeaturesВидеоPricing of FuturesВидеоBackwardation and ContangoВидеоCommodity Markets and Futures DynamicsЗадание

Options Structure and Payoffs

Features of OptionsВидеоFeatures of Options ContinuedВидеоProfit and PayoffsВидеоOptions CharacteristicsВидеоOptions Characteristics ContinuedВидеоOptions Structure and PayoffsЗадание

Mortgage-Backed Securities and Modelling

Amortization ScheduleВидеоMortgage PoolsВидеоAgency MBSВидеоModelling MBSВидеоModelling MBS ContinuedВидеоMortgage-Backed Securities and ModellingЗаданиеGraded - Options, Commodity Markets and Structured Products
Задание
Managing Market Risk: Designing a Hedging Strategy for a Financial PortfolioDIALOGUE