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There are 7 modules in this course
Learn how financial institutions measure risk, apply hedging strategies, and analyze derivatives markets using modern financial risk management techniques. Develop practical skills in stress testing, futures pricing, options analysis, and structured finance evaluation.
This course provides a comprehensive introduction to financial risk models and derivatives market analysis used in banking, investment management, and risk management functions. You’ll begin by exploring risk measurement frameworks including stress testing, scenario analysis, valuation models, and regulatory approaches used to monitor market exposure and financial stability.
As the course progresses, you’ll learn how financial institutions manage interest rate and portfolio risk using duration, DV01, hedge ratios, and derivative instruments. The course also explains practical hedging techniques and how futures and options contracts are used to mitigate market uncertainty and support investment strategies.
Advanced modules focus on derivatives pricing, arbitrage mechanisms, market participants, clearinghouses, and counterparty risk management. You’ll also examine options payoff structures, commodity market behavior, and structured finance products such as mortgage-backed securities to understand how complex financial instruments are modeled and evaluated.
What makes this course unique is its integration of theoretical financial risk models with practical derivatives market applications. By the end of the course, you’ll be able to analyze market risk exposure, evaluate hedging strategies, interpret derivatives pricing mechanisms, and understand how modern financial institutions manage uncertainty in global financial markets.
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
Show info about module content
6 videos•Total 56 minutes
Introduction to Valuation and Risk Models•2 minutes
ES and Stress Testing•14 minutes
Scenario Building•11 minutes
Regulations and Governance•13 minutes
Understanding DV01•9 minutes
DV01 Hedging•7 minutes
4 assignments•Total 60 minutes
Core Concepts of Risk Models•10 minutes
Scenario Analysis and Governance in Risk•10 minutes
Interest Rate Risk Basics•10 minutes
Graded - Foundations of Risk Measurement and Valuation•30 minutes
Hedging and Risk Sensitivity Analysis
Module 2•2 hours to complete
Module details
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
Show info about module content
7 videos•Total 54 minutes
Hedging Strategies•9 minutes
Principal Component Analysis•8 minutes
Duration and DV01•5 minutes
Introduction to Foundations of Risk Management•2 minutes
Arbitrage Pricing Theory Assumptions•13 minutes
Fama and French Model•12 minutes
Fama and French Model Continued•4 minutes
4 assignments•Total 60 minutes
Building Effective Hedging Strategies•10 minutes
Duration and Risk Sensitivity•10 minutes
Asset Pricing Foundations•10 minutes
Gradede - Hedging and Risk Sensitivity Analysis•30 minutes
Strategic Risk Management and ERM
Module 3•2 hours to complete
Module details
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
Show info about module content
8 videos•Total 64 minutes
Hedging Decisions•5 minutes
Principals Part 1•8 minutes
Principals Part 2•10 minutes
Principals Part 3•3 minutes
Benefits of ERM•13 minutes
ERM Dimensions•9 minutes
ERM Culture•9 minutes
ERM Culture Continue•7 minutes
4 assignments•Total 60 minutes
Making Effective Hedging Decisions•10 minutes
Risk Management Principles•10 minutes
Enterprise Risk Management Framework•10 minutes
Graded - Strategic Risk Management and ERM•30 minutes
Scenario Analysis and Market Foundations
Module 4•2 hours to complete
Module details
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
Show info about module content
8 videos•Total 64 minutes
Scenario Analysis•11 minutes
Behavioral Concepts•10 minutes
Introduction to Financial Market and Products•3 minutes
Derivatives Options•7 minutes
Derivatives Options Continued•8 minutes
Futures and Forwards•7 minutes
Exotics•9 minutes
Markets•7 minutes
4 assignments•Total 60 minutes
Advanced Scenario and Behavioral Risk•10 minutes
Overview of Financial Markets and Instruments•10 minutes
Futures, Forwards and Exotic Instruments•10 minutes
Graded - Scenario Analysis and Market Foundations•30 minutes
Derivatives Payoffs and Market Infrastructure
Module 5•2 hours to complete
Module details
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
Show info about module content
6 videos•Total 49 minutes
Futures and Forwards Payoff•7 minutes
Options Payoff•8 minutes
Market Participants•6 minutes
Transactions Countereparties•8 minutes
Benefits of CCPs•11 minutes
Benefits of CCPs Continued•10 minutes
4 assignments•Total 60 minutes
Understanding Derivatives Payoffs•10 minutes
Market Participants and Counterparties•10 minutes
Clearinghouses and Risk Reduction•10 minutes
Graded - Derivatives Payoffs and Market Infrastructure•30 minutes
Practical Hedging and Futures Pricing
Module 6•2 hours to complete
Module details
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
Show info about module content
7 videos•Total 69 minutes
Long and Short Hedging•11 minutes
Pros and Cons of Hedging•11 minutes
Optimal Hedge Ratio•11 minutes
Equity Hedging•9 minutes
Valuation of Futures•11 minutes
Arbitrage Activity•6 minutes
Forwards vs Future Pricing•9 minutes
4 assignments•Total 60 minutes
Hedging Techniques and Tradeoffs•10 minutes
Hedge Optimization and Equity Risk•10 minutes
Futures Pricing and Arbitrage•10 minutes
Graded - Practical Hedging and Futures Pricing•30 minutes
Options, Commodity Markets and Structured Products
Module 7•4 hours to complete
Module details
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
Show info about module content
14 videos•Total 133 minutes
Commodity Markets•10 minutes
Features•9 minutes
Pricing of Futures•11 minutes
Backwardation and Contango•9 minutes
Features of Options•9 minutes
Features of Options Continued•9 minutes
Profit and Payoffs•11 minutes
Options Characteristics•7 minutes
Options Characteristics Continued•9 minutes
Amortization Schedule•14 minutes
Mortgage Pools•9 minutes
Agency MBS•11 minutes
Modelling MBS•7 minutes
Modelling MBS Continued•8 minutes
4 assignments•Total 60 minutes
Commodity Markets and Futures Dynamics•10 minutes
Options Structure and Payoffs•10 minutes
Mortgage-Backed Securities and Modelling•10 minutes
Graded - Options, Commodity Markets and Structured Products•30 minutes
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