https://i123.fastpic.org/big/2024/0821/00/67da7ee07dc297194634300fbe6d0b00.jpeg
Free download скачать Master Risk Measurement & Risk Assessment For Efficiency
Published 7/2024
MP4 | Video: h264, 1920x1080 | Audio: AAC, 44.1 KHz
Language: English | Size: 963.69 MB | Duration: 2h 3m
Risk Measurement Essentials: Detailed Approaches for Modern Industries, Strategies, Tools, and Techniques for Success.

What you'll learn
Importance of risk measurement across various industries.
Basics of probability and statistics relevant to risk measurement.
Risk Measurement in Financial Markets.
Risk Measurement in Non-Financial Contexts.
Qualitative and Quantitative Risk Assessment Methods.
Scenario analysis and stress testing techniques.
Advanced statistical methods such as copula models and extreme value theory.
Operational Risk Measurement.
Importance of regulatory compliance and risk reporting.
Risk Management and Mitigation Strategies.
Industry Applications and Case Studies.
Future Trends in Risk Measurement.
Requirements
Willingness or Interest to learn about Risk Measurement.
Description
IMPORTANT NOTICE BEFORE YOU ENROLL:This course is not a replacement for the official materials you need for the certification exams. It is not endorsed by the certification vendor. You will not receive official study materials or an exam voucher as part of this course.In today's complex and dynamic environment, understanding and measuring risk is crucial for effective decision-making across various industries. My comprehensive course, "Mastering Risk Measurement: From Fundamentals to Advanced Techniques," is designed to equip participants with a deep understanding of risk measurement principles, tools, and applications.Risk measurement is the process of identifying, quantifying, and assessing the potential risks that an organization or individual might face. This involves evaluating the likelihood of adverse events occurring and the potential impact of these events on the objectives of the entity involved. The goal of risk measurement is to provide a systematic and analytical basis for understanding risk, enabling informed decision-making, risk management, and mitigation strategies.The course begins with an introduction to risk measurement, delving into the definition and types of risk, and highlighting the importance of risk measurement in industries such as finance, healthcare, and environmental management. We then explore the historical evolution of risk measurement techniques, identifying key milestones and developments that have shaped modern practices.Participants will gain a solid foundation in key concepts of risk measurement, including the distinction between risk and uncertainty, and essential probability and statistics basics. The course covers various types of risks encountered in financial markets-market, credit, and operational risks-along with project, environmental, and health and safety risks in non-financial contexts.We provide an in-depth look at qualitative and quantitative risk assessment methods, including expert judgment, risk matrices, Value at Risk (VaR), Conditional Value at Risk (CVaR), probability distributions, and Monte Carlo simulations. Additionally, scenario analysis and stress testing are explored, emphasizing their definition, importance, and how to design effective scenarios and stress tests.Advanced statistical techniques, such as copula models and extreme value theory, are introduced, along with the growing role of machine learning in risk measurement. The course also covers specialized models for credit risk measurement, including credit scoring and credit portfolio risk models, as well as methods for measuring operational risk through loss distribution and scenario-based approaches.A critical aspect of the course is the examination of regulatory frameworks and standards, including the Basel Accords, Solvency II, ISO 31000, and the COSO framework. Participants will understand the importance of regulatory compliance, risk disclosure, and reporting in maintaining industry standards and practices.Risk management and mitigation strategies are also addressed, encompassing risk avoidance, transfer, and mitigation techniques. The course highlights the significance of hedging and diversification, and explores the role of insurance as a risk management tool.Real-world industry applications and case studies provide practical insights into risk measurement practices in banking, healthcare, and environmental management, featuring analyses of the 2008 Financial Crisis, managing pandemic risks, and assessing climate change risks.Finally, we look ahead to future trends in risk measurement, including innovations such as blockchain technology and big data analytics, preparing participants for emerging challenges and opportunities in the field.Risk measurement is essential in various industries, including finance, healthcare, environmental management, and project management. By accurately measuring risks, organizations can develop strategies to mitigate adverse effects, optimize risk-taking, and enhance overall resilience and performance.By the end of this course, participants will have a comprehensive understanding of risk measurement techniques, tools, and their applications across different industries, empowering them to make informed decisions and effectively manage risks in their professional roles.Thank you
Overview
Section 1: Introduction to Risk Measurement
Lecture 1 Understanding Risk
Lecture 2 Historical Perspective on Risk Measurement
Section 2: Fundamentals of Risk Measurement
Lecture 3 Key Concepts in Risk Measurement
Lecture 4 Measuring Risk in Financial Markets
Lecture 5 Risk Measurement in Non-Financial Contexts
Section 3: Risk Measurement Tools and Techniques
Lecture 6 Qualitative Risk Assessment Methods
Lecture 7 Quantitative Risk Assessment Methods
Lecture 8 Statistical Models in Risk Measurement
Lecture 9 Scenario Analysis and Stress Testing
Section 4: Advanced Risk Measurement Techniques
Lecture 10 Advanced Statistical Techniques
Lecture 11 Machine Learning in Risk Measurement
Lecture 12 Credit Risk Measurement Models
Lecture 13 Measuring Operational Risk
Section 5: Regulatory Frameworks and Standards
Lecture 14 Risk Measurement and Regulatory Requirements
Lecture 15 Risk Measurement Standards
Lecture 16 Compliance and Risk Reporting
Section 6: Risk Management and Mitigation Strategies
Lecture 17 Risk Management Strategies
Lecture 18 Hedging and Diversification
Lecture 19 Insurance as a Risk Management Tool
Section 7: Industry Applications and Case Studies
Lecture 20 Risk Measurement in Banking
Lecture 21 Risk Measurement in Healthcare
Lecture 22 Risk Measurement in Environmental Management
Section 8: Future Trends in Risk Measurement
Lecture 23 Innovations in Risk Measurement
Finance Professionals: Risk managers, analysts, and financial advisors seeking to deepen their understanding of risk measurement techniques in financial markets.,Project Managers: Professionals responsible for managing and mitigating risks in project planning and execution.,Business Executives and Decision Makers: Leaders who need to understand risk management to make informed strategic decisions.,Regulatory and Compliance Officers: Individuals ensuring that organizations adhere to risk-related regulatory requirements and standards.,Healthcare Administrators and Managers: Professionals involved in managing risks related to healthcare delivery and operations.,Environmental Managers and Sustainability Professionals: Those responsible for assessing and managing environmental risks and implementing sustainable practices.,Students and Academics: Individuals studying risk management, finance, or related fields who want to gain practical and theoretical knowledge in risk measurement.,Data Scientists and Analysts: Professionals interested in applying statistical models and machine learning techniques to risk measurement.,Insurance Professionals: Underwriters, claims adjusters, and risk assessors who need to measure and manage various types of risks in the insurance industry.,Anyone Interested in Risk Management: Individuals looking to enhance their skills and knowledge in risk measurement and management across different industries.
Homepage

Код:
https://www.udemy.com/course/master-risk-measurement-risk-assessment-for-efficiency/

Buy Premium From My Links To Get Resumable Support,Max Speed & Support Me

Rapidgator
wwafb.Master.Risk.Measurement..Risk.Assessment.For.Efficiency.rar.html
Fikper
wwafb.Master.Risk.Measurement..Risk.Assessment.For.Efficiency.rar.html

No Password  - Links are Interchangeable