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Risk Management and Portfolio Theory

Курс от EDUCBA
Уровень не указан≈ 18.5 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Master financial risk management and ace FRM Level 1 with confidence. Learn real-world risk frameworks, portfolio theory, and financial crises insights. This course provides a comprehensive foundation in financial risk management, combining theory, quantitative tools, and real-world applications aligned with the FRM curriculum. You will explore risk measurement techniques, enterprise risk management (ERM), governance frameworks, and liquidity risk, along with deep insights into major financial disasters. The course also covers portfolio theory, capital markets, and probability concepts, essential for both exam success and practical application. Designed for aspiring FRM candidates and finance professionals, this course bridges the gap between conceptual understanding and real-world decision-making. By the end, you will be equipped to analyze risk, evaluate financial scenarios, and apply quantitative tools effectively in finance and risk roles.

Навыки, которые вы освоите

Risk ManagementGovernanceEnterprise Risk Management (ERM)Portfolio ManagementCapital MarketsProbabilityPortfolio RiskRisk MitigationMarket LiquidityRisk AnalysisFinanceRisk ControlApplication FrameworksIT ManagementRisk ModelingFinancial ServicesGovernance Risk Management and ComplianceRisk Management FrameworkFinancial ManagementDecision Making

Программа курса

7 модулей · 98 учебных материалов

01Introduction to Risk Management Foundations15 материалов

Getting Started with FRM

Intro to FRM Level 1ВидеоFoundation Risk ManagementВидеоFoundation Risk Management ContinueВидеоGetting Started with FRMЗадание

Core Quantitative & Conceptual Foundations

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EDUCBA

Преподаватель курса

Risk Management and Portfolio Theory
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Обучение на Coursera

≈ 18.5 ч

7 модулей

Язык: Английский

Часть программы вашего университета
Quantitative AnalysisВидео
Risk Management a Helicopter ViewВидео
Risk Management a Helicopter View ContinueВидео
Core Quantitative & Conceptual FoundationsЗадание

Understanding Risk Measurement

Risk Measurement BasicsВидеоEnterprise Risk Management OverviewВидеоExpected vs Unexpected LossВидеоUnderstanding Risk MeasurementЗаданиеAnalyzing Risk Exposure and Decision-Making in Financial ContextsDIALOGUEGraded - Introduction to Risk Management FoundationsЗаданиеEvaluating Risk Exposure and Loss Uncertainty in Financial DecisionsDIALOGUE
02Types of Risk & Risk Measurement12 материалов

Risk Categories Explained

Risk Classes OverviewВидеоLiquidity Risk BasicsВидеоRisk Categories ExplainedЗадание

Hedging and Risk Control

Hedging Risk ExposureВидеоHedging Decisions and Board RoleВидеоOperational and Financial HedgingВидеоHedging and Risk ControlЗадание

Governance and Risk Strategy

Governance and Board CommitteesВидеоRisk Advisory DirectorВидеоRisk Appetite and StrategyВидеоGovernance and Risk StrategyЗаданиеGraded - Types of Risk & Risk MeasurementЗадание
03Enterprise Risk Management (ERM) & Governance13 материалов

ERM Foundations

Enterprise Risk Management DefinitionВидеоERM Benefits and CostsВидеоRole and Responsibilities of CRDВидеоERM FoundationsЗадание

Risk Culture in Banking

Governance Culture and Bank RiskВидеоScenario Analysis in BanksВидеоRisk Taking and Bank ValueВидеоRisk Culture in BankingЗадание

Risk Performance & Case Insights

Bank Risk Profile and PerformanceВидеоFinancial Disasters OverviewВидеоKidder Peabody and LTCMВидеоRisk Performance & Case InsightsЗаданиеGraded - Enterprise Risk Management (ERM) & GovernanceЗадание
04Financial Disasters & Risk Learnings13 материалов

Case Studies in Financial Failures

UBS and SocGen CasesВидеоMajor Financial Disaster CasesВидеоSumitomo and Merrill LynchВидеоCase Studies in Financial FailuresЗадание

Key Takeaways in Risk Management

Summary to Risk ManagementВидеоSummary to Risk Management ContinueВидеоWhat are TheyВидеоKey Takeaways in Risk ManagementЗадание

Risk Triggers and Ethics

When do They HappenВидеоGARP Code of ConductВидеоIntro to Deciphering the LiquidityВидеоRisk Triggers and EthicsЗаданиеGraded - Financial Disasters & Risk LearningsЗадание
05Liquidity Risk & Securitization13 материалов

Liquidity Concepts

Deciphering the Liquidity ContinueВидеоSecuritizationВидеоDetails of SecuritizationВидеоLiquidity ConceptsЗадание

Securitization Mechanics

Flows in Securitization ProcessВидеоAsset-Liability Maturity ManagementВидеоCollateralized Debt ObligationВидеоSecuritization MechanicsЗадание

Crisis & Liquidity Risks

Funding Liquidity and Market LiquidityВидеоFactors Contributing to CrisisВидеоTriggersВидеоCrisis & Liquidity RisksЗаданиеGraded - Liquidity Risk & SecuritizationЗадание
06Financial Markets & Portfolio Theory13 материалов

Crisis and Risk Data Management

Previous Financial CrisisВидеоPrinciples for Effective Risk Data AggregationВидеоRisk ReportingВидеоCrisis and Risk Data ManagementЗадание

Market Theory Basics

Efficient Market HypothesisВидеоEfficient FrontierВидеоSecurity and Capital MarketВидеоMarket Theory BasicsЗадание

Portfolio Concepts

FormulasВидеоCalculation of AverageВидеоStandard Division of PortfolioВидеоPortfolio ConceptsЗаданиеGraded - Financial Markets & Portfolio TheoryЗадание
07Probability & Portfolio Applications19 материалов

Portfolio Optimization

Example of CMLВидеоPortfolio Possibilities CurveВидеоMaximum Sharpe RatioВидеоPortfolio OptimizationЗадание

Advanced Portfolio Metrics

Tracking Error and IRВидеоCapital Market LineВидеоConclusion-Efficient FrontierВидеоAdvanced Portfolio MetricsЗадание

Probability Foundations

Introduction to ProbabilitiesВидеоProbabilities SumsВидеоPermutation and CombinationВидеоProbability FoundationsЗадание

Applied Probability in Risk

Joint ProbabilitiesВидеоNormal Distribution ExampleВидеоConditional Probability ExampleВидеоJoint and Posterior ProbabilityВидеоApplied Probability in RiskЗаданиеGraded - Probability & Portfolio ApplicationsЗадание
Managing Risk Exposure and Decision-Making in a Financial InstitutionDIALOGUE