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बाजार जोखिम विश्लेषण

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Overview

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Learning outcomes

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Course content

1

बाजार जोखिम परिचय

2

बाजार जोखिम प्रबंधन

3

जोखिम विश्लेषण तकनीक

4

बाजार जोखिम मूल्यांकन

5

बाजार जोखिम नियंत्रण

Career Path

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Key facts

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Why this course

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We offer immediate access to our course materials through our open enrollment system. This means:

  • The course starts as soon as you pay the course fee, instantly
  • No waiting periods or fixed start dates
  • Instant access to all course materials upon payment
  • Flexibility to begin at your convenience

This self-paced approach allows you to begin your professional development journey immediately, fitting your learning around your existing commitments.

We offer two flexible learning paths to suit your schedule:

  • Fast Track: Complete in 1 month with 3-4 hours of study per week
  • Standard Mode: Complete in 2 months with 2-3 hours of study per week

You can progress at your own pace and access the materials 24/7.

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

  • A good command of English language
  • Access to a computer/laptop with internet
  • Basic computer skills
  • Dedication to complete the course
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Assessment is done through:

  • Multiple-choice questions at the end of each unit
  • You need to score at least 60% to pass each unit
  • You can retake quizzes if needed
  • All assessments are online

Upon successful completion, you will receive:

  • A digital certificate from London School of Business and Administration
  • Option to request a physical certificate
  • Transcript of completed units
  • Certification is included in the course fee
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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 "बाजार जोखिम विश्लेषण" because I wanted a solid grounding in market risk before moving into a risk‑management role. The course delivered practical knowledge – especially the sections on credit spread risk and liquidity risk, which I could instantly relate to the current market environment. The recorded webinars were easy to follow and the downloadable cheat‑sheet for risk metrics was a lifesaver during my revision. I appreciated the friendly tone of the instructor and the real‑world examples from the UK market. All in all, a very useful course that helped me pass my internal certification with flying colours.

MC
Michael Carter
US · Course completed

The "बाजार जोखिम विश्लेषण" course at Stanmore School of Business was exactly what I needed to meet my professional development goals. The modules on Value‑at‑Risk (VaR) and stress‑testing gave me a clear framework to quantify market risk, which I immediately applied in my role as a junior analyst. A standout was the hands‑on Excel workbook that walks you through building a Monte‑Carlo simulation – I now use it weekly for portfolio reviews. The instructional videos are concise and the supplemental case studies are directly relevant to real‑world trading desks. Overall, the learning experience was seamless, and I feel far more confident presenting risk assessments to senior management.

AP
Ananya Patel
IN · Course completed

Wow! The "बाजार जोखिम विश्लेषण" course blew me away with its depth and energy. I loved how the instructor broke down complex concepts like beta‑adjusted VaR into simple, bite‑size videos – I could watch them on my commute and still grasp everything. The interactive quizzes gave me instant feedback, and the capstone project where we built a risk dashboard in Python was pure gold. I now confidently run risk‑adjusted performance reports for my firm’s equity desk. The course material is up‑to‑date, engaging, and the community forum was buzzing with useful tips. Highly recommend for anyone eager to dive into market risk!

ZD
Zanele Dlamini
ZA · Course completed

The "बाजार जोखिम विश्लेषण" program provided a thorough, detailed exploration of market risk concepts that aligned perfectly with my learning objectives. The curriculum covered theoretical foundations such as the Capital Asset Pricing Model (CAPM) and practical tools like the construction of risk‑adjusted return charts using R. I particularly valued the in‑depth case study on emerging market volatility, which helped me understand how to adapt risk models to African economies. The reference PDFs were well‑organized, and the weekly live Q&A sessions allowed me to clarify nuanced points. The overall experience was rigorous and rewarding, equipping me with skills I can apply directly in my risk analyst position.





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Recently updated!

May 2026