Learners will analyze financial markets, evaluate financial products, apply risk management techniques, and interpret pricing mechanisms across banking, insurance, derivatives, and fixed income markets. This course equips learners with the analytical skills required to understand how modern financial systems function and how risk is measured, transferred, and managed.
您将学到什么
Analyze financial markets and evaluate key financial products.
Apply risk management tools across banking and derivatives markets.
Interpret pricing mechanisms in fixed income and FX markets.
您将获得的技能
- Futures Exchange
- Mortgage Loans
- Financial Trading
- Risk Management
- Investment Management
- Financial Market
- Capital Markets
- Portfolio Risk
- Underwriting
- Financial Systems
- Derivatives
- Finance
- Banking
- Credit Risk
- Investments
- Financial Services
- Insurance
- Portfolio Management
- Financial Management
- Financial Regulation
- 技能部分已折叠。显示 12 项技能,共 20 项。
要了解的详细信息

添加到您的领英档案
February 2026
35 项作业
了解顶级公司的员工如何掌握热门技能

该课程共有7个模块
This module introduces the structure and purpose of financial markets, key banking risks, regulatory frameworks, and the role of financial institutions in capital formation and risk management.
涵盖的内容
9个视频5个作业
This module explores insurance products, pension plans, premium calculations, mortality risks, and regulatory mechanisms used to manage long-term financial and catastrophic risks.
涵盖的内容
8个视频5个作业
This module covers pooled investment vehicles, fund structures, portfolio diversification, returns analysis, and the foundational role of derivatives in investment management.
涵盖的内容
8个视频5个作业
This module examines futures markets, hedging strategies, counterparty risk, central clearing mechanisms, and techniques used to control portfolio exposure.
涵盖的内容
8个视频5个作业
This module focuses on portfolio risk measurement, pricing of forwards and futures, foreign exchange risks, and interest rate parity relationships.
涵盖的内容
8个视频5个作业
This module introduces options markets, option pricing sensitivities, and trading strategies used to manage risk and construct customized payoff structures.
涵盖的内容
8个视频5个作业
This module covers interest rates, compounding, bond valuation, interest rate derivatives, credit markets, and mortgage-backed financial structures.
涵盖的内容
12个视频5个作业
从 Finance 浏览更多内容
人们为什么选择 Coursera 来帮助自己实现职业发展

Felipe M.

Jennifer J.

Larry W.

Chaitanya A.
常见问题
To access the course materials, assignments and to earn a Certificate, you will need to purchase the Certificate experience when you enroll in a course. You can try a Free Trial instead, or apply for Financial Aid. The course may offer 'Full Course, No Certificate' instead. This option lets you see all course materials, submit required assessments, and get a final grade. This also means that you will not be able to purchase a Certificate experience.
When you purchase a Certificate you get access to all course materials, including graded assignments. Upon completing the course, your electronic Certificate will be added to your Accomplishments page - from there, you can print your Certificate or add it to your LinkedIn profile.
Yes. In select learning programs, you can apply for financial aid or a scholarship if you can’t afford the enrollment fee. If fin aid or scholarship is available for your learning program selection, you’ll find a link to apply on the description page.
更多问题
提供助学金,









