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Credit, Market & Liquidity Risk
Coursera Certificate 0

Credit, Market & Liquidity Risk

About this course

Build advanced financial risk management skills across credit risk, market risk, liquidity risk, treasury strategy, VaR, and portfolio analytics. Learn practical risk frameworks used in banking, financial markets, treasury functions, and investment decision-making. This Specialization is designed for finance professionals and advanced learners who want to strengthen their ability to measure, analyze, and manage complex financial risks. Across six structured courses, learners explore credit risk measurement, counterparty exposure, CVA, securitization, credit derivatives, liquidity stress, treasury funding strategies, Value at Risk, Expected Shortfall, interest rate models, portfolio construction, hedge fund evaluation, and performance analysis. The curriculum connects quantitative tools with real-world financial institution practices, helping learners understand how banks, treasury teams, risk departments, and investment professionals respond to uncertainty and market stress. By completing this Specialization, learners will be able to interpret risk models, evaluate exposures, apply stress testing methods, assess portfolio risk, and make more informed financial risk decisions in professional settings.

B

68/100

CourseAsk score

What the provider tells you
32/45
Who stands behind it
20/35
How complete the listing is
16/20

Scores how much the provider publishes and who stands behind it — not how well it is taught.

What you'll learn

  • interpret risk models
  • evaluate exposures
  • apply stress testing methods
  • assess portfolio risk
  • make informed financial risk decisions
Investment Banking #credit risk #credit derivatives #securitization #stress testing #portfolio construction #liquidity risk #market risk #portfolio analytics #financial risk management #VaR #hedge fund evaluation #quantitative tools #counterparty exposure
$49.00

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