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شهادة مهنية في تحليل مخاطر السوق (متقدم) (Advanced)

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Overview

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Learning outcomes

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Course content

1

التحليل المالي

2

إدارة المخاطر

3

مفاهيم الأسواق المالية

4

استراتيجيات التحليل الفني

5

تحليل السوق العالمي

6

تقييم المخاطر

7

استراتيجيات الاستثمار

8

اقتصاديات السوق

9

تحليل البيانات المالية

10

مخاطر السوق

11

التحليل المالي المتقدم

12

إدارة الأصول

13

الأسواق الناشئة

14

مفاهيم التداول

15

نظرية الاحتمالات

16

مخاطر العمل

17

التحليل الإحصائي

18

اقتصاد الكلي

19

مخاطر السيولة

20

نظم إدارة المخاطر

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  • A good command of English language
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Assessment is done through:

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Why people choose us for their career

Trusted by professionals worldwide

Verified outcomes from learners who finished the course and put it to work.

4.5
Based on 4 learner reviews · 4 countries
98%
Would recommend
100%
Verified learners
2026
Cohort active
Completed from United Kingdom
ST
Sarah Thompson
GB · Course completed

I signed up for the course hoping to brush up on market‑risk concepts before my next role, and it delivered. The lessons on scenario analysis were spot‑on and gave me a practical framework I could use straight away at work. I liked the mix of video lectures and real‑world examples—especially the case where we evaluated the impact of a sudden interest‑rate hike on a bond portfolio. The material was relevant and up‑to‑date, though a few of the older Excel templates could have used a refresh. All in all, a solid learning experience that helped me meet my objectives.

MC
Michael Carter
US · Course completed

The Advanced Market Risk Analysis certification exceeded my expectations. The curriculum aligned perfectly with my goal of mastering VaR and stress‑testing techniques for our hedge fund. I especially appreciated the hands‑on modules that guided us through building a Monte Carlo simulation in Python; I was able to apply that directly to a live portfolio and present a risk report to senior management. The course materials were professionally designed—clear slide decks, up‑to‑date case studies, and an extensive data‑set repository. Overall, the learning experience was seamless, and I feel confident that the skills I gained will accelerate my career in quantitative risk management.

AP
Ananya Patel
IN · Course completed

Wow! This course was exactly what I needed to level up my risk‑analysis game. The instructor’s enthusiasm made complex topics like conditional VaR and liquidity‑adjusted risk easy to grasp. I especially loved the practical labs where we built a risk dashboard in Tableau—now I can show my team live risk metrics during our daily stand‑ups. The reading pack was full of current research papers, which kept the content fresh and relevant. I’m thrilled with how much I’ve learned and confident I can apply these new skills to manage my firm’s market exposure.

ZD
Zanele Dlamini
ZA · Course completed

The Advanced Market Risk Analysis program offered a detailed, step‑by‑step approach that matched my learning style. Each module broke down sophisticated concepts—such as credit‑spread risk and tail‑risk estimation—into digestible sections, supported by high‑quality PDFs and interactive quizzes. I benefitted greatly from the capstone project where I constructed a multi‑asset risk model using R; the feedback from the instructor helped refine my methodology. While the course was intensive, the structured schedule and clear objectives made it manageable. I left the program with a robust toolkit that I’m already using to advise clients on portfolio risk.





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May 2026