Introduction to Financial Risk: Credit, Market, and Liquidity โ€” WalkSelf
โฑ 2h 48m ๐Ÿ“š 28 lessons ๐ŸŽง Audio version

Introduction to Financial Risk: Credit, Market, and Liquidity

Build a solid foundation in portfolio theory, asset pricing, and modern risk assessment to effectively manage credit, market, and liquidity risks.

  • ๐Ÿ’ฌ AI instructor
    Ask about any lesson and get a clear answer instantly, anytime.
  • ๐Ÿ• Start anytime
    No schedules or deadlines โ€” learn at your own pace, whenever suits you.
  • ๐ŸŒ In English
    Lessons, tasks and certificate โ€” all fully in your language.

About this course

In today's volatile economic landscape, understanding how to identify, measure, and mitigate financial exposure is a critical skill for any finance professional or investor. This course equips you with the foundational principles of financial risk management, guiding you through the core concepts of credit, market, and liquidity risks. You will learn how to analyze asset returns, construct balanced portfolios, and apply modern risk metrics to protect capital. What you'll learn: Understand the fundamental trade-off between risk and return across various asset classes; Apply Portfolio Theory to diversify investments and optimize asset allocation; Analyze the Capital Asset Pricing Model (CAPM) to evaluate and price financial assets; Measure market risk using foundational metrics such as Value at Risk (VaR) and modern Expected Shortfall; Evaluate credit risk and liquidity risk using standard industry frameworks; Practice evaluating real-world scenarios through detailed written case studies and calculated risk assessments. We begin with the core definitions of risk and return before progressing to portfolio theory, asset pricing models, and practical risk measurement techniques, including modern stress testing concepts. This course is designed for beginners, aspiring financial analysts, and investors looking for a structured, text-based introduction to risk management, with no prior advanced mathematics required. Start reading today to master the fundamentals of financial risk and build more resilient portfolios.

What you'll get

  • ๐Ÿ“œ Certificate of completion
    Add it to your LinkedIn profile
  • ๐Ÿ’ฌ Personal AI tutor
    Stuck on a lesson? Ask your built-in tutor anything, any time.
  • ๐ŸŽง Audio version included
    Learn on the go โ€” no screen needed
  • โ™พ๏ธ Lifetime access
    Come back anytime, no expiry
  • ๐Ÿ“ฑ Phone or computer
    Works anywhere, any device
  • ๐Ÿ’ธ 14-day refund
    No questions asked
  • โšก Short & focused
    2h 48m of practical content

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Frequently asked

What do I need to take this course? +

Just a phone or computer with internet. No installs, no special hardware.

How do I pay? +

By card via Stripe. We donโ€™t store card details โ€” Stripe handles them securely.

Can I get a refund? +

Yes โ€” full refund within 14 days, no questions asked.

How long will I have access? +

Forever. Once you purchase, the course is yours to revisit anytime.

Will I get a certificate? +

Yes. On completion you'll receive a certificate you can add to your LinkedIn profile.

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