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Introduction to Risk Management に戻る

ニューヨーク金融金融研究所 による Introduction to Risk Management の受講者のレビューおよびフィードバック

4.7
22件の評価
4件のレビュー

コースについて

What is risk? Why do firms manage risk? In this course, you will be introduced to the different types of business and financial risks, their sources, and best practice methods for measuring risk. This course will help you gauge different risk types and set risk limits, describe the key factors that drive each type of risk, and identify the steps needed to choose probability distributions to estimate risk. You will explore the history and development of risk management as a science, and financial and business trends that have shaped the practice of risk management. By the end of the course, you will have the essential knowledge to measure, assess, and manage risk in your organization. To be successful in this course, you should have a basic knowledge of statistics and probability and familiarity with financial instruments (stocks, bonds, foreign exchange, etc). Experience with MS Excel recommended....
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Introduction to Risk Management: 1 - 5 / 5 レビュー

by Qais Y I S

2021年9月21日

​a solid introductory foundation

by Yasir M S J

2021年10月31日

v​ery informative course

by S.R.Gunawardhana

2021年10月16日

Good Course

by Neena K

2021年7月27日

,,

by Heloise H L

2021年10月4日

Very good and progressing learning curve with good assessment and discussion forums to help check our progresses . It is a shame that the discussion does not seem to be monitored ( responded) by the professor as some people might need support and more explanation on probability analysis and concept ( eg the concept of Distribution )