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市场风险分析

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Overview

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Learning outcomes

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Course content

1

市场风险识别

2

金融资产价格风险分析

3

信用风险评估

4

操作风险管理

5

系统性风险评估

Career Path

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Why this course

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There are no formal entry requirements for this course. You just need:

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

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Upon successful completion, you will receive:

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  • Certification is included in the course fee
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Why people choose us for their career

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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 States
MC
Michael Carter
US · Course completed

The ‘市场风险分析’ course at Stanmore School of Business perfectly aligned with my goal of mastering quantitative risk tools for my finance role. The modules on Value‑at‑Risk (VaR) and stress‑testing were presented with clear formulas and real‑world datasets, allowing me to replicate the calculations in Excel and later in R. I especially appreciated the case study on the 2020 market crash, which gave me a step‑by‑step framework for building a risk dashboard. The lecture slides were concise, and the supplemental reading from the Basel III guidelines was highly relevant. Overall, the course exceeded my expectations and equipped me with actionable skills I’ve already applied in my daily risk reports.

LS
Lucas Souza
BR · Course completed

Fiz o curso ‘市场风险分析’ e achei muito útil para o que eu queria aprender. O conteúdo me ajudou a entender como montar um modelo de análise de risco de mercado usando Python, e eu já consegui aplicar isso num projeto na minha empresa de investimentos. Os vídeos explicam bem os conceitos de volatilidade e correlação, e os exemplos práticos com dados reais do mercado brasileiro fizeram a diferença. O material de apoio, com planilhas e artigos, era bem organizado. Saí do curso satisfeito e pronto para usar as técnicas no dia a dia.

FW
Felix Wagner
DE · Course completed

Ich bin begeistert von dem Kurs ‘市场风险分析’! Er hat mir nicht nur die Grundlagen des Marktrisikos vermittelt, sondern mir auch gezeigt, wie man komplexe Szenario‑Analysen in Bloomberg und Excel durchführt. Besonders das Modul über Kredit‑Spread‑Risiken hat mir geholfen, meine Abschlussarbeit zu strukturieren – ich konnte die theoretischen Modelle direkt auf aktuelle Daten anwenden. Die Kursunterlagen waren topaktuell und die Praxisbeispiele aus der europäischen Finanzwelt waren sehr relevant. Meine Lernziele wurden voll erreicht und ich fühle mich jetzt sicher, Risikoberichte für mein Unternehmen zu erstellen.

RK
Rahul Kapoor
IN · Course completed

The ‘市场风险分析’ program was incredibly detailed and matched my ambition to become a risk analyst in the Indian banking sector. The curriculum covered everything from historical simulation to Monte‑Carlo methods, and the instructor walked us through a full‑scale risk assessment of a portfolio of Indian equities using MATLAB. I especially liked the hands‑on labs where we built a risk‑adjusted performance metric (Sharpe ratio) and back‑tested it against market data from the NSE. The reading list included recent research papers, which kept the content fresh and applicable. Overall, the experience was thorough and gave me confidence to tackle real‑world risk projects.





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Recently updated!

May 2026