Back to Market Risk Management: Frameworks & Strategies
New York Institute of Finance

Market Risk Management: Frameworks & Strategies

This course provides the foundation for understanding the frameworks used to develop market risk management strategies. You will identify the market risks associated with each type of financial instrument. You will be introduced to techniques for estimating the risk associated with each class of investments. By the end of the course, you will be able to select the most effective derivatives for managing risk of a single asset and a portfolio of assets, develop asset selection strategies for managing risk in a portfolio, and model risk associated with a single asset and a portfolio of assets. Learners will complete a project covering the estimation and analysis of risk in a globally diversified equity portfolio. The portfolio will include allocations of equity indexes from the U.S., Japan, Hong Kong, and Germany. Data for the two years prior to March 2020 will be used to convert daily returns in each indexes' currency into dollar returns. Value-at-Risk and Expected Shortfall for the portfolio will be calculated using an equal-weighted sample and an exponentially weighted sample. Learners will then be given a new 2-year data set that includes the market data through August of 2020. They will be asked to re-evaluate risk for the portfolio using Value-at-Risk and Expected Shortfall.

Status: Derivatives
Status: Portfolio Risk
BeginnerCourse8 hours

Featured reviews

ZH

5.0Reviewed Mar 29, 2025

Excellent. Instructor knows their stuff. Great for those who are working in the Financial Industry and for those who dabble in investments.

CS

5.0Reviewed Dec 22, 2021

Awesome course!! This will look good on the resume and help secure a better job for me.

DA

5.0Reviewed Jan 5, 2022

Very good course to understand the different ways of measuring and managing Market risk.

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