
University of Geneva
Skills you'll gain: Portfolio Management, Risk Management, Portfolio Risk, Investment Management, Risk Analysis, Investments, Risk Modeling, Asset Management, Wealth Management, Risk Appetite, Financial Market, Correlation Analysis, Variance Analysis
Mixed · Course · 1 - 4 Weeks

Coursera
Skills you'll gain: Portfolio Risk, Portfolio Management, Financial Analysis, Financial Data, Analysis, Data Analysis, Risk Management, Quantitative Research, Investment Management, Performance Analysis, Risk Analysis, Analytics, Financial Acumen, Investments, Asset Management, Performance Metric, Case Studies
Beginner · Course · 1 - 4 Weeks

Skills you'll gain: Project Portfolio Management, Financial Statement Analysis, Financial Statements, Portfolio Management, Investment Management, Investments, Income Statement, Resource Allocation, Market Analysis, Strategic Prioritization, Financial Planning, Business Ethics, Financial Market, Resource Utilization, Portfolio Risk, Market Trend, Technical Analysis, Ethical Standards And Conduct, Financial Trading, Risk Management
Beginner · Specialization · 3 - 6 Months

Skills you'll gain: Insurance, Insurance Policies, Underwriting, Insurance and Warranty Claims Processing, Risk Management, Governance, Regulatory Compliance, Compliance Management, Financial Services, Financial Regulation, Risk Analysis, Emerging Technologies, Innovation, Digital Transformation
Mixed · Course · 1 - 3 Months

Skills you'll gain: Portfolio Management, Portfolio Risk, Investment Management, Risk Management, Financial Management, Wealth Management, Finance, Financial Market, Investments, Financial Planning, Business Strategies, Financial Analysis, Asset Management, Risk Analysis, Investment Banking, Market Dynamics, Market Trend, Performance Measurement, Quantitative Research, Case Studies
Beginner · Course · 1 - 4 Weeks

Skills you'll gain: Financial Statement Analysis, Credit Risk, Financial Statements, Lending and Underwriting, Commercial Lending, Bank Regulations, Financial Analysis, General Lending, Banking, Risking, Portfolio Risk, Commercial Banking, Loans, Loan Documentation, Regulatory Compliance, Portfolio Management, Financial Regulation, Working Capital, Balance Sheet, Compliance Management
Beginner · Specialization · 1 - 3 Months

Skills you'll gain: Enterprise Risk Management (ERM), Derivatives, Risk Modeling, Risk Management Framework, Portfolio Risk, Futures Exchange, Financial Market, Credit Risk, Risk Analysis, Financial Services, Financial Trading, Operational Risk, Statistical Modeling, Risk Management, Financial Modeling, Market Liquidity, Financial Analysis, Securities (Finance), Risk Mitigation, Correlation Analysis
Beginner · Specialization · 3 - 6 Months

Columbia University
Skills you'll gain: Portfolio Management, Derivatives, Financial Market, Securities (Finance), Investment Management, Portfolio Risk, Asset Management, Credit Risk, Mortgage Loans, Mathematical Modeling, Investments, Applied Mathematics, Risk Modeling, Estimation, Capital Markets, Futures Exchange, Financial Modeling, Regression Analysis, Market Liquidity, Statistical Methods
Intermediate · Specialization · 3 - 6 Months

Coursera
Skills you'll gain: Financial Modeling, Descriptive Statistics, Data Literacy, Financial Forecasting, Reconciliation, Financial Analysis, A/B Testing, Portfolio Risk, Model Evaluation, Data Cleansing, Classification And Regression Tree (CART), Regression Analysis, Exploratory Data Analysis, Predictive Modeling, Data Analysis, Risk Analysis, Risk Management, R Programming, Statistical Analysis, Machine Learning
Intermediate · Specialization · 3 - 6 Months

University of Illinois Urbana-Champaign
Skills you'll gain: Portfolio Risk, Wealth Management, Real Estate, Investments, Portfolio Management, Financial Planning, Property and Real Estate, Investment Management, General Finance, Insurance, Commercial Real Estate, Return On Investment, Private Equity, Business Valuation, Risk Management, Market Liquidity, Financial Statement Analysis, Risk Analysis, Financial Statements, Economics
Beginner · Specialization · 1 - 3 Months

New York Institute of Finance
Skills you'll gain: Credit Risk, Operational Risk, Portfolio Risk, Risk Management, Risk Management Framework, Business Risk Management, Risk Modeling, Risk Appetite, Risk Mitigation, Governance Risk Management and Compliance, Financial Market, Enterprise Risk Management (ERM), Risk Control, Risk Analysis, Derivatives, Governance, Portfolio Management, Compliance Management, Project Risk Management, Capital Markets
Beginner · Specialization · 3 - 6 Months

Skills you'll gain: Portfolio Risk, Portfolio Management, Investment Management, Investments, Risk Modeling, Financial Modeling, Return On Investment, Financial Analysis, Performance Measurement, Finance, Performance Analysis, Financial Market, Risk Analysis, Performance Metric, Statistical Methods, Probability & Statistics, Statistical Analysis, Correlation Analysis, Asset Management, Capital Markets
Mixed · Course · 1 - 4 Weeks