Advanced Certificate in Market Risk: A Practical Guide
-- ViewingNowThe Advanced Certificate in Market Risk: A Practical Guide is a comprehensive course designed to equip learners with essential skills for managing market risk in today's dynamic financial markets. This certificate program is crucial for professionals seeking to advance their careers in risk management, investment banking, financial analysis, and related fields.
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⢠Introduction to Market Risk: Definitions, Concepts, and Importance
⢠Major Market Risk Types: Interest Rate Risk, Equity Risk, Currency Risk, Commodity Risk
⢠Market Risk Measurement: Value at Risk (VaR), Conditional VaR, Expected Shortfall (ES)
⢠Risk Management Tools: Hedging, Diversification, Portfolio Optimization
⢠Market Risk Models: Delta-Normal, Delta-Gamma, Monte Carlo Simulation
⢠Stress Testing and Scenario Analysis in Market Risk Management
⢠Backtesting and Validation of Market Risk Models
⢠Regulations and Best Practices in Market Risk Management: Basel III, FRTB, ICAAP
⢠Case Studies and Real-World Examples of Market Risk Management
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