EDUCBA

Market Credit and Operational Risk Management Specialization

EDUCBA

Market Credit and Operational Risk Management Specialization

Master Advanced Financial Risk Management.

Apply market, credit, operational, and liquidity risk strategies for FRM Level 2 success

EDUCBA

Instructor: EDUCBA

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Get in-depth knowledge of a subject
Beginner level

Recommended experience

2 months to complete
at 10 hours a week
Flexible schedule
Learn at your own pace
Get in-depth knowledge of a subject
Beginner level

Recommended experience

2 months to complete
at 10 hours a week
Flexible schedule
Learn at your own pace

What you'll learn

  • Measure and interpret market risk using VaR, Expected Shortfall, stress testing, and portfolio risk analytics.

  • Analyze credit and counterparty risk using exposure models, CVA, default probability, securitization, and credit derivatives.

  • Evaluate operational and liquidity risk frameworks while applying exam-style strategies to solve FRM Level 2 risk scenarios.

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Taught in English
Recently updated!

June 2026

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Specialization - 4 course series

Market Risk Management Fundamentals

Market Risk Management Fundamentals

Course 1, 16 hours

What you'll learn

  • Apply VaR, Expected Shortfall, stress testing, and backtesting techniques to measure market risk.

  • Analyze portfolio performance using factor models, risk budgeting, and investment analytics.

  • Evaluate hedge funds, illiquidity risk, and advanced risk management strategies in finance.

Advanced Credit Risk Management

Advanced Credit Risk Management

Course 2, 30 hours

What you'll learn

  • Analyze credit risk, counterparty exposure, and default probability using quantitative models.

  • Evaluate CVA, securitization, credit derivatives, and collateral management frameworks.

  • Apply portfolio credit risk, stress testing, and exposure management techniques in banking.

Operational and Liquidity Risk Management

Operational and Liquidity Risk Management

Course 3, 18 hours

What you'll learn

  • Analyze operational risk, liquidity risk, and capital adequacy frameworks in financial institutions.

  • Evaluate economic capital, counterparty risk, and advanced operational risk measurement methods.

  • Apply risk governance, liquidity management, and regulatory concepts to real-world banking scenarios.

Advanced Risk Management and Strategy

Advanced Risk Management and Strategy

Course 4, 7 hours

What you'll learn

  • Apply FRM Level II concepts to solve complex risk management and portfolio questions.

  • Analyze market, credit, liquidity, and operational risk scenarios using exam-style problems.

  • Develop effective test-taking strategies and improve accuracy through mock paper practice.

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Instructor

EDUCBA
EDUCBA
1,533 Courses318,998 learners

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EDUCBA

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