Learn how to navigate the uncertain waters of investing with confidence and security through the power of effective Investment Risk Management.
After the successful completion of the course, you will be able to learn about the following;
Describe the nature of investment risk and its potential impact on investment outcomes.
Identify and differentiate between the types of investment risks, such as market risk, credit risk, and liquidity risk.
Explain the nature and process of risk management, including risk identification, risk assessment, and risk mitigation.
Analyze the nature of a risk mitigation plan and identify the key components that make it effective.
Evaluate various risk mitigation methods used in investments, including diversification, asset allocation, and use of derivatives.
Examine the concept of hedging in investments, including hedging strategies and using futures and options for speculation and arbitrage.
Investment Risk Management is a crucial aspect of any successful investment strategy. In this course, you will learn how to navigate the complex world of investing with confidence and security by effectively managing investment risk. You will explore the nature of investment risk, the different types of investment risks, and how they can impact investment outcomes. Through practical examples and case studies, you will understand the nature and process of risk management and how to develop a risk mitigation plan that works for your investment portfolio.
This course will equip you with the knowledge and tools to manage investment risk effectively. You will learn various risk mitigation methods, including diversification, asset allocation, and the use of derivatives such as options and futures. You will also delve into the concept of hedging, including hedging strategies and using futures and options for speculation and arbitrage. By the end of this course, you will have a thorough understanding of the best practices for managing investment risk, enabling you to make informed investment decisions and maximize your returns while minimizing your risk exposure.
This course will equip the learner with the knowledge and tools to manage investment risk effectively. You will learn various risk mitigation methods, including diversification, asset allocation, and the use of derivatives such as options and futures. You will also delve into the concept of hedging, including hedging strategies and using futures and options for speculation and arbitrage. By the end of this course, you will have a thorough understanding of the best practices for managing investment risk, enabling you to make informed investment decisions and maximize your returns while minimizing your risk exposure.
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Interacting with Lectures/Learning Components Watch this video to gain further insight.
Introduction to Investment Analysis Self-paced pre-recorded learning content on this topic.
Investment Risk Management Put your knowledge to the test with this quiz. Read each question carefully and choose the response that you feel is correct.
All MSBM courses are accredited by the relevant partners and awarding bodies. Please refer to MSBM accreditation in about us for more details.
There are no strict entry requirements for this course. Work experience will be added advantage to understanding the content of the course.
The certificate is designed to enhance the learner's knowledge in the field. This certificate is for everyone eager to know more and get updated on current ideas in their respective field. We recommend this certificate for the following audience.
CEO, Director, Manager, Supervisor
Risk Manager
Investment Risk Analyst
Portfolio Manager
Chief Risk Officer
Investment Analyst
Quantitative Analyst
Risk Management Consultant
Compliance Officer
Financial Advisor
Hedge Fund Manager
Average Completion Time
2 Weeks
Accreditation
3 CPD Hours
Level
Advanced
Start Time
Anytime
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