Financial Risk Management

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Paid

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Level

Beginner

Last updated on March 8, 2025 2:30 am
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Learn the foundational principles of Financial Risk Management (FRM) to make an impact on your organization and career. Identify, analyze, and manage risks to eliminate or reduce risk exposure. Calculate standard deviation and beta using real data to understand the type of risk. Perfect for finance professionals and non-finance individuals interested in security and organizational risk. Ideal for students pursuing a career in risk and credit. Don’t invest your hard-earned money without knowing the attached risk. Enroll now!

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What you’ll learn

  • Identify the risks an organization may face.
  • Analyze in depth the risks that have been identified.
  • Manage risk with the goal of possibly eliminating or at least reducing the risk exposure.
  • Identify the specific risk of an security.
  • Calculation of standard deviation and beta by using real data of companies.
  • Understanding the type of risk.

The key to organizational profitability is not only the rewards (Revenue & Profits) but also being able to Identify, Analyze, and Manage Risks. Without risk, there is no reward.

That is where people trained in Financial Risk Management (FRM) are critical to an organization’s success.

In about 2.30 hours, you will learn the foundational principles to make an impact on your organization and your career.

In the course we will be following a clear Financial Risk Management (FRM) Process of:

  • Identifying the financial risks the organization faces such as:

    • Market Risks

    • Credit Risks

    • Liquidity Risks

    • Currency Risks

    • Commodity Risks and more

  • Analyze those risks from a qualitative and quantitative standpoint so we can rank and prioritize them such as determining our:

    • Expected Losses

    • Unexpected Losses and more

  • How to manage financial risks we have identified and analyzed so we can:

    • Eliminate risks where possible

    • Mitigate our risk exposure

This course will help you to calculate the risk of security i.e standard deviation,  and market risk i.e. beta by using the real data of listed companies, which will help you in finding out the risk attached to the securities, also you will learn how to fetch the data of companies.

The course includes Case Studies and Activities where you get to decide a course of action you may take!h

Who this course is for:

  • Excellent for finance professionals looking to have a deeper understanding of risk.
  • Great for non-finance people who want to be exposed to risk of security and organizations.
  • Students who wants to make career in risk and credit.
  • Learn how to find out the risk attached with the securities, before investing your hard earned money.

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