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⇱ Analyze Financial Markets, Products, and Risk Management | Coursera


Analyze Financial Markets, Products, and Risk Management

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Analyze Financial Markets, Products, and Risk Management

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Gain insight into a topic and learn the fundamentals.
Beginner level

Recommended experience

2 weeks to complete
at 10 hours a week
Flexible schedule
Learn at your own pace

Gain insight into a topic and learn the fundamentals.
Beginner level

Recommended experience

2 weeks to complete
at 10 hours a week
Flexible schedule
Learn at your own pace

What you'll learn

  • Analyze financial markets and evaluate key financial products.

  • Apply risk management tools across banking and derivatives markets.

  • Interpret pricing mechanisms in fixed income and FX markets.

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Recently updated!

February 2026

Assessments

35 assignments

Taught in English

There are 7 modules in this course

Learners will analyze financial markets, evaluate financial products, apply risk management techniques, and interpret pricing mechanisms across banking, insurance, derivatives, and fixed income markets. This course equips learners with the analytical skills required to understand how modern financial systems function and how risk is measured, transferred, and managed.

The course provides a comprehensive, structured exploration of financial markets, beginning with market foundations and banking risks, and progressing through insurance products, pooled investment funds, derivatives, futures, options, foreign exchange, and fixed income instruments. Learners will examine real-world financial mechanisms such as mortgage pooling, underwriting, hedging strategies, interest rate parity, bond valuation, and credit ratings. Emphasis is placed on understanding riskβ€”market risk, credit risk, operational risk, longevity risk, and counterparty riskβ€”and the tools used to manage it. What makes this course unique is its integrated approach: it connects financial theory with market practice across multiple sectors, offering a unified view of products, services, and risk frameworks. By completing this course, learners will gain practical financial literacy, strengthen analytical decision-making skills, and build a strong foundation for careers in finance, banking, investment analysis, risk management, and financial services.

This module introduces the structure and purpose of financial markets, key banking risks, regulatory frameworks, and the role of financial institutions in capital formation and risk management.

What's included

9 videos5 assignments

9 videosβ€’Total 67 minutes
  • Introduction to Courseβ€’3 minutes
  • Market Riskβ€’7 minutes
  • Credit Riskβ€’7 minutes
  • Operational Riskβ€’5 minutes
  • Bank Regulationsβ€’12 minutes
  • Bank Regulations contdβ€’10 minutes
  • Underwriting & IPOβ€’11 minutes
  • Advisory Services & Trading β€’2 minutes
  • Originate to distribute model (Loan)β€’10 minutes
5 assignmentsβ€’Total 70 minutes
  • Graded - Foundations of Financial Markets & Banking Risksβ€’30 minutes
  • Course Overview and Market Riskβ€’10 minutes
  • Credit Structures and Mortgage Poolsβ€’10 minutes
  • Banking Risk and Regulation Basicsβ€’10 minutes
  • Capital Market Intermediationβ€’10 minutes

This module explores insurance products, pension plans, premium calculations, mortality risks, and regulatory mechanisms used to manage long-term financial and catastrophic risks.

What's included

8 videos5 assignments

8 videosβ€’Total 67 minutes
  • Types of Insurance (Life Insurance)Property Casualty Insurance , Pension Planβ€’11 minutes
  • Property Casualty Insurance , Pension Planβ€’6 minutes
  • Mortality Tables β€’10 minutes
  • Calculation of Premiumβ€’7 minutes
  • Calculation of Premium contd..β€’8 minutes
  • Longevity Risk, Mortality Riskβ€’9 minutes
  • Catastrophic Bond & Ratiosβ€’10 minutes
  • Regulationsβ€’5 minutes
5 assignmentsβ€’Total 70 minutes
  • Graded - Insurance Markets and Risk Managementβ€’30 minutes
  • Insurance Fundamentalsβ€’10 minutes
  • Mortality and Premium Conceptsβ€’10 minutes
  • Advanced Premium and Risk Measuresβ€’10 minutes
  • Catastrophic Risk and Regulationβ€’10 minutes

This module covers pooled investment vehicles, fund structures, portfolio diversification, returns analysis, and the foundational role of derivatives in investment management.

What's included

8 videos5 assignments

8 videosβ€’Total 68 minutes
  • Pooled Funds Basicsβ€’10 minutes
  • Fund Structure & NAVβ€’10 minutes
  • Fund Management & Costsβ€’8 minutes
  • Types of Pooled Fundsβ€’8 minutes
  • Fund Risk & Performanceβ€’9 minutes
  • Returns and Researchβ€’4 minutes
  • Derivativesβ€’11 minutes
  • Derivatives Continueβ€’7 minutes
5 assignmentsβ€’Total 70 minutes
  • Graded - Investment Funds and Portfolio Returnsβ€’30 minutes
  • Pooled Investment Vehicles – Basicsβ€’10 minutes
  • Pooled Funds – Structure and Operationsβ€’10 minutes
  • Pooled Funds – Advanced Conceptsβ€’10 minutes
  • Introduction to Derivativesβ€’10 minutes

This module examines futures markets, hedging strategies, counterparty risk, central clearing mechanisms, and techniques used to control portfolio exposure.

What's included

8 videos5 assignments

8 videosβ€’Total 83 minutes
  • Future Markets and Hedgingβ€’11 minutes
  • Exchanges and OTC Markets and Central Clearingβ€’12 minutes
  • Counter Partiesβ€’10 minutes
  • Counter Parties Continueβ€’11 minutes
  • CCp and Credit Riskβ€’8 minutes
  • Future and Derivative Marketsβ€’12 minutes
  • Short and Long Hedgeβ€’11 minutes
  • Optimal Hedge Ratioβ€’9 minutes
5 assignmentsβ€’Total 70 minutes
  • Graded - Futures, Hedging, and Counterparty Riskβ€’30 minutes
  • Futures Markets and Hedgingβ€’10 minutes
  • Counterparty Riskβ€’10 minutes
  • Central Clearing and Credit Riskβ€’10 minutes
  • Hedging Techniquesβ€’10 minutes

This module focuses on portfolio risk measurement, pricing of forwards and futures, foreign exchange risks, and interest rate parity relationships.

What's included

8 videos5 assignments

8 videosβ€’Total 75 minutes
  • Managing Beta of Portfolioβ€’7 minutes
  • Pricing Forwards and Futureβ€’11 minutes
  • Pricing Forwards and Future Continueβ€’9 minutes
  • Foreign Exchange Markets-Quotesβ€’10 minutes
  • Foreign Exchange Markets-Quotes Continueβ€’10 minutes
  • Transaction Riskβ€’11 minutes
  • Interest Rate Parity Theoremβ€’6 minutes
  • Options Marketsβ€’12 minutes
5 assignmentsβ€’Total 70 minutes
  • Graded - Pricing and Portfolio Risk Managementβ€’30 minutes
  • Managing Portfolio Riskβ€’10 minutes
  • Forward and Futures Pricingβ€’10 minutes
  • Foreign Exchange Riskβ€’10 minutes
  • Interest Rate Parityβ€’10 minutes

This module introduces options markets, option pricing sensitivities, and trading strategies used to manage risk and construct customized payoff structures.

What's included

8 videos5 assignments

8 videosβ€’Total 70 minutes
  • Moneyness of Optionsβ€’9 minutes
  • Options Like Structureβ€’6 minutes
  • The Greekβ€’10 minutes
  • Thetaβ€’7 minutes
  • Option Trading Strategiesβ€’10 minutes
  • Spread Trading Strategiesβ€’11 minutes
  • Box Spreadβ€’9 minutes
  • Combination Trading Strategiesβ€’9 minutes
5 assignmentsβ€’Total 70 minutes
  • Graded - Options Markets and Trading Strategiesβ€’30 minutes
  • Options Fundamentalsβ€’10 minutes
  • Options Sensitivitiesβ€’10 minutes
  • Options Trading Strategiesβ€’10 minutes
  • Advanced Option Combinationsβ€’10 minutes

This module covers interest rates, compounding, bond valuation, interest rate derivatives, credit markets, and mortgage-backed financial structures.

What's included

12 videos5 assignments

12 videosβ€’Total 111 minutes
  • Risk Free Rateβ€’10 minutes
  • Compounding Frequencyβ€’10 minutes
  • Bond Valuationβ€’11 minutes
  • Bond Valuation Exampleβ€’10 minutes
  • Prices Options 5 Variableβ€’9 minutes
  • Forward Rate Agreementβ€’9 minutes
  • Pricing Conventionβ€’10 minutes
  • Foreign Currency Swapsβ€’7 minutes
  • Corporate Bonds Fundamentalsβ€’12 minutes
  • Credit Ratingβ€’9 minutes
  • Basics of Mortgageβ€’8 minutes
  • Mortgage Poolsβ€’6 minutes
5 assignmentsβ€’Total 70 minutes
  • Graded - Fixed Income, Rates, and Mortgage Marketsβ€’30 minutes
  • Interest Rates and Time Valueβ€’10 minutes
  • Bond Valuation and Pricingβ€’10 minutes
  • Interest Rate Derivatives and Swapsβ€’10 minutes
  • Credit Markets and Mortgagesβ€’10 minutes

Instructor

EDUCBA
1,591 Coursesβ€’326,930 learners

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