- Risk Management
- Investment Management
- Capital Markets
- Equities
- Asset Management
- Statistical Analysis
- Financial Modeling
- Financial Market
- Risk Modeling
- Probability & Statistics
- Market Data
- Risk Analysis
Market Risk Management: Frameworks & Strategies
Completed by Jeremie Mangylo
January 23, 2024
7 hours (approximately)
Jeremie Mangylo's account is verified. Coursera certifies their successful completion of Market Risk Management: Frameworks & Strategies
What you will 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.
Skills you will gain

