Embark on a transformative journey with our 'Finance: Financial Risk Management'
course, uniquely designed to equip you with an in-depth understanding of risk
management in the financial sector. This course starts with an enlightening
introduction to the fundamentals of financial risk, setting the stage for a
comprehensive exploration of various financial instruments and their associated
risks. As you progress, delve into the intricate world of derivatives, including
concepts and the diverse types of derivatives available. The curriculum further
unfolds to cover future contracts, where you will learn about the nuances of
future concepts and strategies for deviating risks. Moreover, gain valuable
insights into the settlement processes in future markets, enhancing your ability
to navigate complex financial scenarios.
The course intensifies as you explore the realms of option contracts. Here,
you'll dissect the intricacies of call and put options, alongside a detailed
analysis of the roles and perspectives of both the holder and the writer in
these contracts. Concluding with an examination of the types of options at the
expiration date, this course promises a holistic and practical understanding of
financial risk management. With every lesson, you're not just learning; you're
gaining a vital skill set to manage and strategize in the ever-evolving
financial landscape.
Learning Outcomes
* Acquire a foundational understanding of financial risk and the role of
derivatives in risk management.
* Master the concepts and types of derivatives, including future and option
contracts.
* Develop expertise in analyzing and strategizing future contracts to mitigate
financial risks.
* Gain proficiency in understanding and handling option contracts, particularly
in call and put options.
* Enhance your decision-making skills in financial risk management with
practical insights into various types of options at expiration.
WHY CHOOSE THIS FINANCIAL RISK MANAGEMENT COURSE?
1. Unlimited access to the course for a lifetime.
2. Opportunity to earn a certificate accredited by the CPD Quality
Standards and CIQ after completing this course.
3. Structured lesson planning in line with industry standards.
4. Immerse yourself in innovative and captivating course materials and
activities.
5. Assessments designed to evaluate advanced cognitive abilities and skill
proficiency.
6. Flexibility to complete the Course at your own pace, on your own schedule.
7. Receive full tutor support throughout the week, from Monday to Friday, to
enhance your learning experience.
8. Unlock career resources for CV improvement, interview readiness, and job
success.
WHO IS THIS FINANCIAL RISK MANAGEMENT COURSE FOR?
* Individuals aspiring to specialize in financial risk management.
* Finance professionals seeking to deepen their knowledge in derivatives and
risk strategies.
* Analysts interested in mastering the nuances of future and option contracts.
* Students pursuing a career in finance or related fields.
* Entrepreneurs looking to improve their financial risk assessment and
management skills.
CAREER PATH
* Risk Analyst: £30,000 - £50,000
* Financial Consultant: £35,000 - £55,000
* Derivatives Trader: £40,000 - £70,000
* Investment Analyst: £32,000 - £60,000
* Portfolio Manager: £45,000 - £85,000
* Compliance Officer: £28,000 - £50,000
PREREQUISITES
This Finance: Financial Risk Management does not require you to have any prior
qualifications or experience. You can just enrol and start learning. This
course was made by professionals and it is compatible with all PC's, Mac's,
tablets and smartphones. You will be able to access the course from anywhere at
any time as long as you have a good enough internet connection.
CERTIFICATION
After studying the course materials, there will be a written assignment test
which you can take at the end of the course. After successfully passing the test
you will be able to claim the pdf certificate for £4.99 Original Hard Copy
certificates need to be ordered at an additional cost of £8.
COURSE CURRICULUM
Finance: Financial Risk Management Lesson 01: Introduction 00:01:00 Lesson 02:
Derivatives-Concepts and types of derivatives, 00:09:00 Lesson 03: Future
contracts, understanding future concepts deviating risks 00:07:00 Lesson 04:
Settlement in future markets 00:13:00 Lesson 05: Option contracts, call option,
Analysis of Holder and Writer in call option 00:16:00 Lesson 06: Put option,
Analysis of Holder and writer in put option 00:11:00 Lesson 07: Types of options
in the expiration date 00:09:00