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.

Market Risk Management: Frameworks & Strategies

Market Risk Management: Frameworks & Strategies
This course is part of Risk Management Specialization

Instructor: Jack Farmer
Access provided by Assam down town University
15,192 already enrolled
207 reviews
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What you'll learn
Identify best-practice frameworks for assessing market risk.
Estimate Value at Risk and use in a risk management strategy.
Model market factors such as interest rates, equity, and commodity prices.
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Reviewed on 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.
Reviewed on Jan 5, 2022
Very good course to understand the different ways of measuring and managing Market risk.
Reviewed on Dec 22, 2021
Awesome course!! This will look good on the resume and help secure a better job for me.
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