We’re excited to have you on board! This course has been carefully designed to give you end-to-end knowledge of Market Risk. This combines basic concepts, theory, quant models, regulation, real-world practices, quizzes and career preparation. Since this is a self-paced course, you can pause, revisit and practice as many times as you need. Consistency, however, will multiply your outcomes!
A Few Important Notes (Disclaimer):
- The learning journey is designed for finance, risk, and quant professionals who want to sharpen their skills and accelerate their careers.
- The course assumes a basic quantitative/statistical background, but key mathematical ideas are explained where necessary.
- While we strive to cover everything you need to excel in Market Risk, regulations and practices evolve over time. Learners are welcome to request new topics or additions directly from the instructor. This ensures the course evolves with your needs
- The course is dynamic in nature – new modules, examples, and regulatory updates will be added over time. Don’t stress out if you see additional content added in the course which needs to be completed 😂; it’s part of keeping the learning journey ongoing!
- Excel demonstrations are provided for conceptual clarity. Institutions may have different implementations or data systems.
- This course is educational in nature and in no ways is a financial advice
- This course is meant to supplement, not replace, workplace training or compliance requirements.
- Live Session updates related to course content, resume building, one-on-one discussions would be provided on the Whatsapp Discussion Forum Group.
👉 By the end of this course, you will not only understand Market Risk inside out but also gain the confidence to apply it in interviews, job roles, and real-world on-the-job challenges.