Financial Risk Models and Valuation Techniques

Master the valuation and risk modeling techniques used by financial institutions, investment firms, and risk management professionals to evaluate financial instruments and manage uncertainty. This comprehensive course combines market risk measurement, derivatives valuation, fixed income analysis, and advanced risk management frameworks into a practical learning experience. The course begins with the foundations of financial risk measurement, introducing Value at Risk (VaR), volatility concepts, and statistical techniques used to quantify financial uncertainty. Learners will explore multiple VaR methodologies and understand how risk professionals measure and monitor market exposure across portfolios. Building on this foundation, the course examines advanced risk modeling approaches and option pricing techniques. Learners will gain practical knowledge of binomial valuation models, the Black-Scholes framework, and the application of Greeks for sensitivity analysis, hedging, and risk management. Arbitrage principles and pricing relationships are also explored to strengthen financial intuition. The course then transitions into fixed income valuation, covering bond pricing, discounting techniques, yield curve construction, and interest rate dynamics. Learners will develop the ability to measure and manage interest rate risk using duration, convexity, and DV01 methodologies commonly applied by investment and treasury professionals. Beyond market and interest rate risk, learners will explore credit risk, operational risk, and country risk frameworks. Topics include credit ratings, transition matrices, operational risk challenges, and macroeconomic factors influencing sovereign and cross-border risk assessment. By the end of this course, learners will be able to evaluate financial instruments, apply valuation models, interpret risk metrics, assess multiple forms of financial risk, and support investment and risk management decisions using industry-standard techniques relevant to banking, asset management, treasury, and FRM preparation.
SERTİFİKAKatılım Sertifikası
FORMAT%100 Online
SÜREKendi hızında

Öğrenecekleriniz

  • Operational Risk
  • Risk Modeling
  • Credit Risk
  • Risk Management Framework
  • Portfolio Risk
  • Financial Market
  • Financial Modeling
  • Risk Analysis
  • Derivatives
  • Risk Management
  • Investment Management
  • Financial Management

Detaylar

  • SağlayıcıEDUCBA
  • TürKurs
  • KategoriFinans & Muhasebe
  • Dilİngilizce

Öğrenenlerimiz ne diyor?

Türkiye'nin yüz akı üniversitelerince hazırlanan; akademik doyuruculuğa sahip eğitim içeriklerinin, etkileşimli videolarla bir araya getirildiği bir üniversiteden eğitim almak istiyorsanız doğru yerdesiniz.
Ramazan Bölükbaşı
Çok yoğun programı olan öğrenciler için büyük bir fırsat. Bir şeylerin gelişmesi değişmesi için çabalamalıyız.
Melis Gülsar
Hızlı desteği ve üst düzey hizmeti ile Campus Online ve Sosyal Medya Sertifika Programı hizmeti sağlayan Adnan Menderes Üniversitesine sonsuz teşekkürlerimi sunuyorum.
Nazif Bayram
$49
CampusOnline Yardımcı asistan
kurs kaydedildi

Kurs Karşılaştırma

Kurum
Puan
Türkçe Altyazı
Seviye
Süre
Fiyat
Sertifika