EDUCBA

Risk Management and Futures Market Analysis

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EDUCBA

Risk Management and Futures Market Analysis

EDUCBA

Instructor: EDUCBA

Included with Coursera Plus

Gain insight into a topic and learn the fundamentals.
2 weeks to complete
at 10 hours a week
Flexible schedule
Learn at your own pace
Gain insight into a topic and learn the fundamentals.
2 weeks to complete
at 10 hours a week
Flexible schedule
Learn at your own pace

What you'll learn

  • Analyze financial risk models, stress testing, and scenario analysis techniques.

  • Evaluate hedging strategies using futures, options, and interest rate measures.

  • Interpret derivatives pricing, counterparty risk, and structured finance concepts.

Details to know

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Recently updated!

May 2026

Assessments

28 assignments

Taught in English

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Build your subject-matter expertise

This course is part of the Risk Management and Quant Finance Specialization
When you enroll in this course, you'll also be enrolled in this Specialization.
  • Learn new concepts from industry experts
  • Gain a foundational understanding of a subject or tool
  • Develop job-relevant skills with hands-on projects
  • Earn a shareable career certificate

There are 7 modules in this course

This module introduces the fundamental concepts of financial risk measurement and valuation models used in modern risk management. Learners explore core techniques such as stress testing, scenario analysis, and regulatory frameworks while understanding how financial institutions assess and manage risk exposure in dynamic markets.

What's included

6 videos4 assignments

This module explores how financial institutions and investors manage market risk through hedging strategies and sensitivity analysis. Learners examine practical approaches to hedging interest rate and portfolio risk while understanding the role of duration, hedge ratios, and derivative instruments in risk mitigation.

What's included

7 videos4 assignments

This module focuses on the strategic principles of risk management and the implementation of Enterprise Risk Management (ERM) frameworks. Learners examine risk governance practices, organizational risk culture, and the benefits of integrating risk management across business functions.

What's included

8 videos4 assignments

This module introduces advanced scenario analysis techniques and behavioral finance concepts while providing a foundation for understanding financial markets and products. Learners explore how market participants interact and how behavioral biases influence financial decision-making.

What's included

8 videos4 assignments

This module examines the payoff structures of derivative contracts and the key participants involved in financial markets. Learners explore the roles of counterparties, clearinghouses, and central counterparties in reducing systemic risk and ensuring market stability.

What's included

6 videos4 assignments

This module focuses on practical hedging strategies and the pricing mechanisms of futures contracts. Learners analyze hedge ratios, equity hedging techniques, and the role of arbitrage in maintaining price alignment between spot and futures markets.

What's included

7 videos4 assignments

This module explores the characteristics of options, commodity markets, and structured financial products. Learners examine option pricing factors, commodity market dynamics, and the modeling of mortgage-backed securities used in structured finance.

What's included

14 videos4 assignments

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Instructor

EDUCBA
EDUCBA
1,291 Courses294,837 learners

Offered by

EDUCBA

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