Master Financial Risk Management: Strategies for 2024
Focused View
2:30:27
1 - Course Resources and Downloads.html
2 - Section Introduction.mp4
01:51
3 - 02-01-lessonarticle.pdf
3 - Overview of Financial Risk and Its Importance.mp4
07:03
4 - Case Study Effective Financial Risk Management.mp4
08:38
5 - 02-02-lessonarticle.pdf
5 - Fundamental Concepts in Financial Risk Management.mp4
06:54
6 - Case Study Strategic Financial Risk Management in Complex Markets.mp4
10:09
7 - 02-03-lessonarticle.pdf
7 - Introduction to Major Financial Risk Theories.mp4
07:18
8 - Case Study Strategic Financial Risk Management in Crisis.mp4
05:57
9 - Section Summary.mp4
02:20
10 - Section Introduction.mp4
01:54
11 - 03-01-lessonarticle.pdf
11 - Understanding Risk Concepts and Categories.mp4
06:43
12 - Case Study Risk Management in Turbulent Times.mp4
07:30
13 - 03-02-lessonarticle.pdf
13 - Techniques for Identifying Risks.mp4
07:46
14 - Case Study A Multifaceted Approach to Ensuring Successful Product Launches.mp4
07:59
15 - 03-03-lessonarticle.pdf
15 - Quantitative and Qualitative Risk Measurement Basics.mp4
07:15
16 - Case Study Integrating Quantitative and Qualitative Approaches in Risk.mp4
07:52
17 - Section Summary.mp4
01:46
18 - Section Introduction.mp4
02:10
19 - 04-01-lessonarticle.pdf
19 - Understanding Risk Mitigation Fundamentals.mp4
05:18
20 - Case Study Strategic Risk Mitigation in the Tech Industry.mp4
07:44
21 - 04-02-lessonarticle.pdf
21 - Integrating Ethical Principles in Risk Management.mp4
08:43
22 - Case Study Integrating Ethical Principles into Risk Management.mp4
10:14
23 - 04-03-lessonarticle.pdf
23 - Developing Comprehensive Risk Mitigation Strategies.mp4
07:14
24 - Case Study Strategic Financial Risk Management.mp4
08:12
25 - Section Summary.mp4
01:57
More details
Course Overview
This comprehensive course provides essential knowledge and practical strategies for identifying, measuring, and mitigating financial risks in today's dynamic markets, with a focus on both quantitative techniques and ethical considerations.
What You'll Learn
- Core financial risk theories and their real-world applications
- Advanced techniques for risk identification and measurement
- Strategic approaches to risk mitigation with ethical frameworks
Who This Is For
- Finance professionals enhancing risk management skills
- Aspiring risk managers building foundational knowledge
- Business leaders ensuring organizational stability
Key Benefits
- No prerequisites - suitable for all experience levels
- Practical case studies from various industries
- Combines quantitative methods with ethical considerations
Curriculum Highlights
- Financial Risk Management Theories & Fundamentals
- Risk Identification & Measurement Techniques
- Strategic Mitigation & Ethical Decision-Making
Focused display
Category
- language english
- Training sessions 24
- duration 2:30:27
- Release Date 2025/04/26