Search result for Lse risk and finance Online Courses & Certifications
Get Course Alerts by Email
Healthcare Finance, Economics and Risk
by Jody Woodworth- 0.0
5 Weeks
Gain the knowledge of financial systems needed to be a leader or administrator in the healthcare industry and how they impact strategic planning, quality assurance and risk management initiatives. Strategic planning, marketing, quality assurance and risk management initiatives for healthcare organizations will also be explored. How to analyze economic concepts and models as they apply to healthcare....
$199
Overview of Advanced Methods of Reinforcement Learning in Finance
by Igor Halperin- 3.8
Approx. 13 hours to complete
In particular, we will talk about links between Reinforcement Learning, option pricing and physics, implications of Inverse Reinforcement Learning for modeling market impact and price dynamics, and perception-action cycles in Reinforcement Learning. - Apply the methods of Reinforcement Learning to high-frequency trading, credit risk peer-to-peer lending, and cryptocurrencies trading. PDEs in Physics and Finance...
Principles of Sustainable Finance
by Dirk Schoenmaker , Eva Rood , Rob van Tulder , Steve Kennedy , Karen Maas- 4.7
Approx. 17 hours to complete
Finance is widely seen as an obstacle to a better world. Using finance as a means to achieve social goals we can divert the planet and its economy from its current path to a world that is sustainable for all. Understand what the interplay is between the UN Sustainable Development Goals and finance...
Alternative Approaches to Valuation and Investment
by Paul Kofman , Sean Pinder- 4.7
Approx. 16 hours to complete
This is part of a Specialization in corporate finance created in partnership between the University of Melbourne and Bank of New York Mellon (BNY Mellon). Defining Attitudes Towards and Alternative Measures of Risk 2 Alternative attitudes towards risk (I don’t hate risk, I’m just averse to it. 3 Portfolio Return and Risk (The more the merrier…)...
Corporate Finance II: Financing Investments and Managing Risk
by Heitor Almeida- 4.8
Approx. 20 hours to complete
You will also learn how to measure and manage credit risk and how to deal with financial distress. • Understand how companies make financing, payout and risk management decisions that create value Welcome to Corporate Finance II: Financing Investments and Managing Risk Leverage and the Risk of Financial Distress Currency Risk and the Cost of Capital...
FinTech Risk Management
by Garvin Percy DIAS , Theodore Henry King CLARK- 4.6
Approx. 15 hours to complete
This course “FinTech Risk Management” help you understand risk management and corporate governance in finance industry with the disruption by FinTech and RegTech. You will become more confident to analyse and make recommendations to develop business strategies balancing the risks in operation, reputation and the stability of finance firms. 3 Finance Regulation & Compliance: Foundations & History (Part 2)...
Risk Management Professional Certificate Examination
by Anton Theunissen- 0.0
1 Weeks
Complete this exam to earn your professional certificate in Risk Management from the New York Institute of Finance. Ready to start your career in Risk Management? To earn your Professional Certificate in Risk Management from the New York Institute of Finance (NYIF), you must pass this exam. Risk Management Tools and Practices...
$500
Innovative Finance: Hacking finance to change the world
by Aunnie Patton Power , Tsakane Ngoepe- 4.7
Approx. 19 hours to complete
The tools of finance, when applied correctly, can be an enabler of social and environmental outcomes. Innovative Finance: Hacking Finance to Change the World Themes of Impact: Water, Sanitation and Hygiene Themes of Impact: Access to Clean and Safe Energy Early Stage Risk and Scalability Liquidity and Exit Risk Summary of Risk and Funding Structures...
Economics of Money and Banking
by Perry G Mehrling- 4.9
Approx. 33 hours to complete
Central Bank and Bank Rate Market Liquidity, Dealers, and Inventories Arbitrage and the Assumption of Perfect Liquidity Security Dealers as Money Dealers, Matched and Speculative Book Cash and Carry Arbitrage, Explained as Liquidity Risk Cash and Carry Arbitrage, Explained as Counterparty Risk Example: Negative Basis Trade and Liquidity Risk Finance View: Risk A Money View of Economics and Finance...
Key Success Factors in Supply Chain Finance
by Oliver Belin , Jack Farmer- 4.7
Approx. 19 hours to complete
In this course, you'll learn about the challenges and bottlenecks in Supply Chain Finance and understand their impact on Supply Chain Finance programs. Key Challenges in Setting up and Managing a Supply Chain Finance Program Supply Chain Finance and its Accounting Treatment Understand how Supply Chain Finance is priced. Identify the relevant factors for suppliers to come onboard and trade....