EDUCBA

Master Market Risk, VaR & Interest Rate Models

EDUCBA

Master Market Risk, VaR & Interest Rate Models

EDUCBA

Instructor: EDUCBA

Access provided by Xavier School of Management, XLRI

Gain insight into a topic and learn the fundamentals.
1 week to complete
at 10 hours a week
Flexible schedule
Learn at your own pace
Gain insight into a topic and learn the fundamentals.
1 week to complete
at 10 hours a week
Flexible schedule
Learn at your own pace

What you'll learn

  • Apply VaR, Expected Shortfall, and market risk models to measure portfolio risk effectively.

  • Analyze interest rate, fixed income, volatility, and option pricing models for risk management.

  • Evaluate hedging strategies, regulatory frameworks, and financial model outputs in practice.

Details to know

Shareable certificate

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Assessments

24 assignments

Taught in English
Recently updated!

June 2026

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Build your subject-matter expertise

This course is part of the Credit, Market & Liquidity Risk Specialization
When you enroll in this course, you'll also be enrolled in this Specialization.
  • Learn new concepts from industry experts
  • Gain a foundational understanding of a subject or tool
  • Develop job-relevant skills with hands-on projects
  • Earn a shareable career certificate

There are 6 modules in this course

Develop foundational knowledge of market risk, VaR methodologies, Expected Shortfall, and model validation techniques for practical risk measurement.

What's included

8 videos4 assignments

Analyze VaR implementation, backtesting frameworks, and correlation dynamics to improve portfolio risk assessment and diversification strategies.

What's included

8 videos4 assignments

Apply correlation modeling and hedging techniques including DV01 and regression-based methods to manage interest rate and portfolio risk.

What's included

7 videos4 assignments

Evaluate interest rate dynamics, binomial trees, and valuation techniques for bonds, swaps, and interest rate derivatives.

What's included

8 videos4 assignments

Explore advanced financial models including Vasicek, lognormal models, and option pricing frameworks for accurate risk and valuation analysis.

What's included

8 videos4 assignments

Understand volatility structures, option market behavior, and regulatory frameworks shaping modern market risk management.

What's included

7 videos4 assignments

Earn a career certificate

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Instructor

EDUCBA
EDUCBA
1,533 Courses318,998 learners

Offered by

EDUCBA

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