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Overview

Navigating the volatile world of financial markets demands a precise and efficient risk assessment framework. This course empowers the participants with various risk measurement techniques which are commonly employed by financial industry professionals.  Topics include the foundational concepts for risk analysis, such as probability distributions, statistical inference, linear regression, time … For more content click the Read More button below.

Conditions for Enrolment

Enrolled in Program 8404 or 8417 or 8418 or 8428 or 8411 or 8416

Delivery

In-person - Standard (usually weekly or fortnightly)

Multimodal - Standard (usually weekly or fortnightly)

Fully online - Standard (usually weekly or fortnightly)

Fees

Pre-2019 Handbook Editions

Access past handbook editions (2018 and prior)