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学生对 Duke University 提供的 Risk Management and Financial Theory 的评价和反馈
31 个评分
课程概述
In this course, you will explore various types of financial risks, including market, credit, and operational risks, and learn strategies for managing and mitigating them. Additionally, you will master the art of building compelling business cases, focusing on strategic alignment, financial justification, risk assessment, and stakeholder communication. You will also understand the fundamental principle that money available now is worth more than the same amount in the future due to its potential earning capacity. You will apply these concepts through scenario-based assessments and financial theory exercises.
This course is ideal for non-financial managers or professionals who seek to enhance their financial acumen to make better business decisions. No prior experience in finance is required. However, a basic understanding of business operations and strategic thinking will be beneficial.
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1 - Risk Management and Financial Theory 的 5 个评论(共 5 个)
创建者 Diego A C D
•Apr 9, 2025
Great content, filled with fresh knowledge that goes outside of the theory and gets involves practical and real situations. Congrats to professor Joseph for his capability to teach!
创建者 Timothy H
•Mar 20, 2025
Now that I have the swing of things I am enjoying the series much more. Still getting adjusted to your AI instructor.
创建者 Lawrence L
•Jan 5, 2025
Excellent course
创建者 SINGH A
•Aug 12, 2025
good
创建者 Abhinav L
•May 9, 2025
Defines risk, and describes what is important for a business to succeed. But doesn't go into the details of the kinds of risks a business faces, like operational risk or reputational risk.