Risk Management Tools and Practices - New York Institute of Finance

edX

Course

Online

Free

Description

  • Type

    Course

  • Methodology

    Online

  • Duration

    4 Weeks

  • Start date

    Different dates available

Learn how to compare and contrast economic capital, risk capital and regulatory capital. With an apprenticeship you earn while you learn, you gain recognized qualifications, job specific skills and knowledge and this helps you stand out in the job market.With this course you earn while you learn, you gain recognized qualifications, job specific skills and knowledge and this helps you stand out in the job market.

Facilities

Location

Start date

Online

Start date

Different dates availableEnrolment now open

About this course

Some knowledge of financial instruments (bonds, options, swaps, etc.)

Basic MS Excel skills.

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Reviews

This centre's achievements

2017

All courses are up to date

The average rating is higher than 3.7

More than 50 reviews in the last 12 months

This centre has featured on Emagister for 8 years

Subjects

  • Risk
  • IT
  • IT risk
  • IT Management
  • Risk Management
  • Management

Course programme

This economics and finance course is an introduction to risk management techniques including the use of standard hedging instruments, asset-liability management and integrated risk management. Upon completion of this course, participants will receive a certificate bearing the New York Institute of Finance (NYIF) name. A NYIF certificate is a valuable addition to your credentials, proving that you have acquired the work-ready skills that employer’s value. For those who wish to learn more, students can enroll in the remaining four courses to earn the complete Risk Management Professional Certificate, backed by the New York Institute of Finance’s 93-year history.

Additional information

Teacher:Anton Theunissen Anton has twelve years of financial services experience and more than 10 years of academic experience, teaching finance, economics and mathematics to graduate and undergraduate students. His research interests include the effects of securitization and rational default behavior on mortgage credit extension.

Risk Management Tools and Practices - New York Institute of Finance

Free