Les fondamentaux de la gestion des risques financiers
Offered By: PSL Research University via France Université Numerique
Course Description
Overview
In response to the coronavirus pandemic, this MOOC is available as an "open archive" : there is no discussion forum, no interaction with the course team and no free certificate of attendance or fee paying certificates will be generated.
About this course / A propos du cours
The Institut Louis Bachelier - the leading research network in economics and finance, is host since its creation in 2008 of several research programmes dedicated to risk management. Now, the Institut is launching a MOOC (Fundamentals of Financial risk management) in collaboration with PRMIA, the international association of risk management professionals, offering theoretical and practical insights on the fundamentals of financial risk management.
The focus on financial risk management has crystallized in recent years, leading to a need to comprehend, measure and manage a variety of risks (market risks, credit risks, counterparty risk, operational risks). Through the reinforcement of prudential regulations and increased communication requirements, organizations must evolve to adapt to a new regulatory context.
This six session MOOC is the opportunity for you to approach this topic with the help of our two specialists and professionals in the sector, Justin McCarthy and Oscar McCarthy. They will offer you their expertise on risk management, its history, current and future issues. You will discover the different facets of risk management tools and their uses, with a number of case studies. Mixing theory with practice, the MOOC as a whole will allow you to acquire all the knowledge you need on this topic, and you will be delivered a certificate upon completion of the course.
*The Institut Louis Bachelier is a member of PSL - Paris Science et Lettres.
L’Institut Louis Bachelier* - premier réseau de recherche en économie et en finance, héberge depuis sa création en 2008 plusieurs programmes de recherches dédiés à la gestion du risque. Aujourd’hui, l’Institut lance un MOOC (Les fondamentaux de la gestion des risques financiers) en collaboration avec PRMIA, l’association internationale des professionnels de la gestion des risques, offrant des éclairages théoriques et pratiques sur les fondamentaux de la gestion des risques financiers.
L’attention sur la gestion des risques financiers s’est cristallisée au cours de ces dernières années, conduisant à devoir appréhender, mesurer et gérer une variété de risques (risque de marchés, de crédit, de contreparties, opérationnels…). De par le renforcement de la règlementation prudentielle et l’obligation de communication accrue, les organisations doivent évoluer pour s’adapter aux nouveaux contextes règlementaires.
Ce MOOC en six sessions est pour vous le moyen d’aborder ce sujet par le prisme de nos deux spécialistes et professionnels du secteur, Justin McCarthy et Oscar McCarthy. Ils vous délivreront leurs expertises sur la gestion des risques financiers, son historique, ses enjeux actuels et à venir. Vous y découvrirez les différentes facettes propres aux outils de la gestion des risques financiers et à leur emploi, sous différents cas d’études. Alliant théorie et pratique, l’ensemble de ce MOOC vous permettra d’acquérir le niveau de connaissances nécessaire, en vous délivrant une attestation de suivi avec succès.
*L’institut Louis Bachelier est membre de PSL – Paris Sciences et Lettres
Format
The course runs for six weeks and includes:
Language: English / Subtitles: French
Le cours s’étend sur 6 semaines et propose :
Langue : Anglais / Sous-titres : Français
Syllabus
Course structure / Plan du cours
- Week 1 / Risk in Industry : an overview of risk and risk management, with a more detailed look at its place in the banking industry.
- Week 2 / Market Risk : Risk in the markets – how market participants can gain and lose from the markets ; and how can this can be managed.
- Week 3 / Credit Risk : How economies are grown through credit, the risks of excessive credit growth and how credit risk can be managed.
- Week 4 / Liquidity Risk : How the recent crisis brought this risk into the mainstream of risk management.
- Week 5 / Operational Risk : The « least rewarded » risk ; how risks related to the operations and day to day running of a firm can be identified and managed.
- Week 6 / Strategic Risk : How risk management can be part of your strategic planning for any firm.
Taught by
Oscar Mccarthy and Justin Mccarthy
Tags
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