Analyze financial markets, investment products, derivatives, and financial risk using practical frameworks for valuation, hedging, and decision-making.
Build applied skills across banking, insurance, investments, options, bonds, credit markets, foreign exchange, and risk management.
This Specialization develops a connected understanding of financial institutions, products, pricing, and risk. You will analyze banking and insurance risks, pooled investment funds, diversification, market structure, and institutional risk-management practices.
You will then examine futures, forwards, derivatives markets, counterparty exposure, foreign exchange risk, and long and short hedging strategies. As you progress, you will evaluate option payoffs, moneyness, Greeks, spreads, interest-rate relationships, bond valuation, forward rate agreements, currency swaps, corporate credit, mortgages, and mortgage pools.
By connecting institutional finance with investment products and risk-transfer strategies, you will develop stronger financial reasoning for comparing securities, assessing exposures, interpreting pricing relationships, and selecting appropriate risk-management approaches across banking, investment, treasury, insurance, portfolio, and risk-related environments.
Projet d'apprentissage appliqué
Learners will complete applied projects that mirror real financial decision-making, including evaluating institutional risks, comparing investment products, analyzing derivative exposures, and assessing options, bonds, and credit instruments. They will use valuation, pricing, hedging, and risk analysis techniques to recommend suitable responses to realistic market and portfolio scenarios.

















