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Risk Management

Risk Management

Master essential and advanced risk management practices in finance. This comprehensive course covers credit risk, market risk, OTC counterparty risk, securitisation, credit derivatives, BIS compliance, and regulatory frameworks such as Basel I. Learn practical risk mitigation strategies, pricing models, and global regulatory insights tailored to UK, EU, and US financial systems.
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Responsible Fred Manu
Last Update 27/06/2025
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Risk Management

Regulatory Implementation Across Regions.pptx

Examine how BIS guidelines are implemented differently across global financial jurisdictions, including the UK, EU, and US.
BIS Compliance
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Risk Management
Regulatory Implementation Across Regions.pptx
Examine how BIS guidelines are implemented differently across global financial jurisdictions, including the UK, EU, and US.
Risk Management
Basel I – Capital Adequacy and Credit Risk.pptx
Learn the fundamentals of Basel I, focusing on capital adequacy ratios and approaches to measuring and managing credit risk.
Risk Management
The Role of the BIS in Global Finance.pptx
Understand how the BIS fosters international monetary and financial cooperation, and supports central banks with regulatory guidance.
Course Introduction.pptx
Course Introduction.pptx
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Gain an overview of BIS compliance and its significance in promoting financial stability and regulatory cooperation worldwide.