Master financial risk management, statistics, and probability with practical, real-world applications. Build strong quantitative skills for finance careers and certifications like FRM and CFA.

Fundamentals of Risk Management & Financial Analysis

Fundamentals of Risk Management & Financial Analysis

Instructor: EDUCBA
Access provided by Howard University
Gain insight into a topic and learn the fundamentals.
2 weeks to complete
at 10 hours a week
Flexible schedule
Learn at your own pace
What you'll learn
Apply statistical and probability techniques to analyze financial data and risk.
Evaluate market, credit, and operational risks using quantitative finance methods.
Use regression, hypothesis testing, and time value of money concepts for decision-making.
Skills you'll gain
- Finance
- Financial Data
- Probability
- Risk Modeling
- Probability & Statistics
- Operational Risk
- Probability Distribution
- Predictive Modeling
- Risk Analysis
- Risk Management
- Statistical Hypothesis Testing
- Financial Analysis
- Statistics
- Financial Management
- Variance Analysis
- Statistical Methods
- Statistical Analysis
- Credit Risk
- Analysis
- Decision Making
Details to know
Assessments
28 assignments
Taught in English
Recently updated!
June 2026
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