Professional Certificate in Dynamic Portfolio Risk
-- ViewingNowThe Professional Certificate in Dynamic Portfolio Risk is a comprehensive course that focuses on the essential skills required to manage and assess investment risk in dynamic market conditions. This certificate program is designed to equip learners with the necessary tools and techniques to identify, analyze, and mitigate various types of investment risks in a portfolio context.
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⢠Unit 1: Introduction to Portfolio Risk and Reward
⢠Unit 2: Portfolio Theory and Modern Portfolio Theory (MPT)
⢠Unit 3: Risk Metrics: Volatility, Value at Risk (VaR), and Conditional VaR
⢠Unit 4: Portfolio Optimization and Efficient Frontier
⢠Unit 5: Factors Affecting Portfolio Risk: Diversification, Correlation, and Covariance
⢠Unit 6: Portfolio Risk Management Strategies: Hedging, Stop Loss, and Position Sizing
⢠Unit 7: Risk Management Tools: Options, Futures, and Swaps
⢠Unit 8: Portfolio Stress Testing and Scenario Analysis
⢠Unit 9: Behavioral Finance and Portfolio Risk
⢠Unit 10: Regulatory Environment and Compliance Considerations in Portfolio Risk Management
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