This course focuses on evaluating financial uncertainty across credit exposure, trading activities, funding stability, and interest rate movements using advanced quantitative methods and real-world case analysis. Learners explore loss measurement techniques, tail event modeling, governance breakdowns, and balance sheet resilience within complex financial institutions.

Advanced Credit, Market & Liquidity Risk Analysis
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Empfohlene Erfahrung
Was Sie lernen werden
Analyze credit, market, funding, and interest rate risks using quantitative frameworks.
Evaluate tail risks, loss measurement methods, and balance sheet resilience through case studies.
Interpret risk models critically to support informed decision-making in financial institutions.
Kompetenzen, die Sie erwerben
- Kategorie: Lending and Underwriting
- Kategorie: Balance Sheet
- Kategorie: Financial Market
- Kategorie: Financial Regulation
- Kategorie: Portfolio Management
- Kategorie: Working Capital
- Kategorie: Financial Analysis
- Kategorie: Risk Analysis
- Kategorie: Commercial Lending
- Kategorie: Bank Regulations
Wichtige Details

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Januar 2026
27 Aufgaben
Erfahren Sie, wie Mitarbeiter führender Unternehmen gefragte Kompetenzen erwerben.

In diesem Kurs gibt es 7 Module
This module introduces the fundamental concepts of credit risk, focusing on how financial institutions identify, measure, and manage exposure arising from borrower and counterparty defaults.
Das ist alles enthalten
9 Videos4 Aufgaben
This module explores market risk measurement with a focus on extreme value theory, emphasizing the modeling of tail risk and the limitations of traditional distributional assumptions.
Das ist alles enthalten
9 Videos4 Aufgaben
This module examines fraud risk from an analytical and governance perspective, highlighting detection methods, behavioral indicators, and lessons from major financial misconduct cases.
Das ist alles enthalten
9 Videos4 Aufgaben
This module focuses on liquidity risk management, examining deposit pricing, borrowing markets, and repo instruments used to support short-term funding needs.
Das ist alles enthalten
9 Videos4 Aufgaben
This module addresses internal liquidity pricing, cost of carry, and the complexities of managing liquidity across global banking operations.
Das ist alles enthalten
9 Videos4 Aufgaben
This module examines exchange rate determination, interest rate parity relationships, and the impact of regulatory and funding constraints on foreign exchange markets.
Das ist alles enthalten
9 Videos4 Aufgaben
This module focuses on asset–liability management techniques used to control interest rate and liquidity risk, emphasizing balance sheet alignment and long-term stability.
Das ist alles enthalten
10 Videos3 Aufgaben
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Häufig gestellte Fragen
To access the course materials, assignments and to earn a Certificate, you will need to purchase the Certificate experience when you enroll in a course. You can try a Free Trial instead, or apply for Financial Aid. The course may offer 'Full Course, No Certificate' instead. This option lets you see all course materials, submit required assessments, and get a final grade. This also means that you will not be able to purchase a Certificate experience.
When you enroll in the course, you get access to all of the courses in the Specialization, and you earn a certificate when you complete the work. Your electronic Certificate will be added to your Accomplishments page - from there, you can print your Certificate or add it to your LinkedIn profile.
Yes. In select learning programs, you can apply for financial aid or a scholarship if you can’t afford the enrollment fee. If fin aid or scholarship is available for your learning program selection, you’ll find a link to apply on the description page.
Weitere Fragen
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