Master financial risk management concepts through practical FRM-style mock exam problem solving and quantitative analysis. Learn how to apply risk models, valuation frameworks, and financial market concepts used in professional risk management and FRM Level 1 preparation.

Quantitative Risk Management Exam Practice
Save on skills that make you shine with 40% off 3 months of Coursera Plus. Save now

Gain insight into a topic and learn the fundamentals.
8 hours to complete
Flexible schedule
Learn at your own pace
What you'll learn
Apply quantitative techniques to solve financial risk management problems.
Analyze VaR, volatility, derivatives, and yield curve risk scenarios.
Interpret mock exam questions using structured risk analysis methods.
Details to know

Shareable certificate
Add to your LinkedIn profile
Recently updated!
May 2026
Assessments
12 assignments
Taught in English
See how employees at top companies are mastering in-demand skills

Explore more from Finance
Status: Free Trial
Status: Free TrialColumbia University
Status: Free TrialNew York Institute of Finance
Status: Free TrialBoard Infinity
Why people choose Coursera for their career

Felipe M.
Learner since 2018
"To be able to take courses at my own pace and rhythm has been an amazing experience. I can learn whenever it fits my schedule and mood."

Jennifer J.
Learner since 2020
"I directly applied the concepts and skills I learned from my courses to an exciting new project at work."

Larry W.
Learner since 2021
"When I need courses on topics that my university doesn't offer, Coursera is one of the best places to go."

Chaitanya A.
"Learning isn't just about being better at your job: it's so much more than that. Coursera allows me to learn without limits."





