Risk Management

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Last updated on September 1, 2025 12:45 am
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What you will learn

  • Compute standard risk measures for portfolios comprising of a variety of asset classes.
  • Be aware of the strengths and weaknesses of the various approaches to risk measurement.
  • Understand the central role of asset liability management in the overall risk management of financial institutions.
  • Understand the implications of recent risk events for risk management and prudential regulation.
  • Understand the issues surrounding current risk regulation.
  • Be familiar with current regulatory stress testing regimes for financial institutions.

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