Risk Management
Last update:
18/06/2025
Completed
Advanced Statistical Techniques for Risk Analysis.pptx
16 Views •Applying Quantitative Analysis to Financial Markets.pptx
15 Views •The Role of the BIS in Global Finance.pptx
14 Views •Course Introduction.pptx
14 Views •Monte Carlo Simulations for Risk Analysis.pptx
14 Views •Credit Valuation Adjustment (CVA) – Adjusting for Counterparty Risk.pptx
13 Views •Regression Analysis in Risk Prediction.pptx
12 Views •Credit Indices – Introduction to iTraxx and CDX.pptx
13 Views •Risks & Regulatory Considerations.pptx
12 Views •Regulatory Landscape for Credit Derivatives.pptx
12 Views •What is Securitization.pptx
12 Views •Mortgage-Backed Securities (MBS).pptx
12 Views •Practical Application – Portfolio Risk Assessment.pptx
12 Views •Regulatory Implementation Across Regions.pptx
12 Views •Collateralized Debt Obligations (CDOs).pptx
12 Views •Course Introduction.pptx
12 Views •Credit-Linked Notes (CLNs) – Structured Credit Products.pptx
12 Views •Fundamentals of Credit Risk Modeling.pptx
11 Views •Probability of Default (PD) and Loss Given Default (LGD).pptx
11 Views •Sensitivity Analysis in Risk Management.pptx
11 Views •Regression Analysis in Risk Prediction.pptx
Apply regression analysis techniques to forecast financial risk and model the relationship between market variables.
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