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Learner Reviews & Feedback for Financial Risk Management with R by Duke University

4.3
stars
255 ratings

About the Course

This course teaches you how to calculate the return of a portfolio of securities as well as quantify the market risk of that portfolio, an important skill for financial market analysts in banks, hedge funds, insurance companies, and other financial services and investment firms. Using the R programming language with Microsoft Open R and RStudio, you will use the two main tools for calculating the market risk of stock portfolios: Value-at-Risk (VaR) and Expected Shortfall (ES). You will need a beginner-level understanding of R programming to complete the assignments of this course....

Top reviews

JW

Jul 6, 2020

This course has been very well planned and structured. I enjoyed taking it. Thank you.

DL

Apr 2, 2021

Great course, with the right level of detail and topics

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101 - 102 of 102 Reviews for Financial Risk Management with R

By Christian B R

Nov 10, 2025

Need updating, and lots of details

By Carlos D

Dec 2, 2022

First practice file was corrupted