Search result for Lse risk and finance Online Courses & Certifications
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The Complete Enterprise Risk Management (ERM) Course.
by Sameh Elsayed- 3.9
4.5 hours on-demand video
Sales, Logistics, Marketing and Finance not Risk Management. In the last two decades, we have seen many crisis and risks that made many big and famous companies go bankrupt and vanish from our business world due to lack of Enterprise risk management. - Nature and Causes of Risk - Risk Communication and Reporting...
$12.99
Introduction to Fleet Management
by Sivile Mbekeni- 4.3
4 hours on-demand video
This course is designed for Fleet Owners, Company Directors, Fleet Managers, Finance Managers, Fleet Administrators/ Supervisors who are seasoned professional in different facets of the business. Discover risk issues facing your fleet operation, how to evaluate risk and proactively take actions that allow you to make educated decisions on how to transfer risk cost effectively ...
$9.99
Applied Machine Learning with R (Trading Use Case) - 2020
by The Trading Whisperer- 3.7
5.5 hours on-demand video
Learn the complete quantitative finance workflow and use machine learning algorithms in R to develop trading strategies Load the data in R and do data preparation and visualization. Trading futures, forex and options involves the risk of loss. Only risk capital you can afford to lose, and the risk of loss being substantial, you should consider carefully the inherent risks....
$9.99
Cost of Capital
by Douglas Carroll- 0.0
4 Weeks
Get introduced to the cost of capital and learn the implications of cost of capital for corporate & funding decisions. This course begins with a look at the connection between the cost of capital to the firm and risk versus expected returns to investors for the different types of corporate securities....
$150
Structured Finance - Credit Derivatives
by Institute of Investment Banking- 3
3 hours on-demand video
Learn about credit risk, credit default swaps, credit events, credit linked notes and other credit derivatives Through this course you will be also learning about credit risk, credit default swaps, credit events, credit linked notes, other credit derivatives, and what are the uses of credit derivatives in market....
$12.99
Cash Flow Analysis
by Tracy Williams- 0.0
4 Weeks
Learn the importance of a stable and consistent cash flow. This course is Part 3 of the Credit and Credit Risk Analysis Professional Certificate program from the New York Institute of Finance. In this course, you'll cover the importance of a stable and consistent cash flow to meet obligations. Project Finance...
$300
Wharton Business and Financial Modeling Capstone
by Richard Lambert , Robert W. Holthausen , Don Huesman , Richard Waterman- 4.6
Approx. 12 hours to complete
Steps 1 and 2: Yahoo Finance How To Build an Optimization Model: Hudson Readers Ad Campaign (Modeling Risk and Realities) Data and Visualization: Graphical Representation (Modeling Risk and Realities) Optimizing with Solver, and Alternative Data Inputs (Modeling Risk and Realities) Adding Risk: Managing Investments at Epsilon Delta Capital (Modeling Risk and Realities)...
Introduction to Investments
by S.G. Badrinath- 0.0
5 Weeks
Learn about equity markets and security valuation. When you complete this course, you will become familiar with the general structure of primary and secondary equity markets from a domestic and international perspective. Beginning with introductory finance notions of risk and return, we examine qualitative concepts such as market efficiency and valuation....
$50
MBA ASAP Corporate Finance Fundamentals
by John Cousins- 4.4
5.5 hours on-demand video
Contents, way of communication and pace is so much easy that even Non Finance guys can understand easily. Corporate Finance is the Tools and Techniques of how Companies Make Decisions about what Projects to Pursue, and how to Value those Projects. We will explore the trade off between risk and return, and how to value income producing assets....
$14.99
Derivatives Markets: Advanced Modeling and Strategies
by Deborah J. Lucas , Egor Matveyev- 0.0
12 Weeks
Students will obtain a sophisticated understanding of valuation methods; tools for quantifying, hedging, and speculating on risk; and a basic familiarity with major markets and instruments. Tools for quantifying, hedging, and speculating on risk are emphasized. The knowledge and skills acquired are essential for any well-trained financial practitioner. The many ways to shape risk exposure with derivatives...
$450