Introduction to Financial Derivatives for Trading and Risk Management — PickAClass
⏱ 2 oras 48 min 📚 28 aralin 🎧 Audio version

Introduction to Financial Derivatives for Trading and Risk Management

Master the foundational mechanics of forwards, futures, swaps, and options to manage financial risk and build smarter trading strategies.

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Tungkol sa kursong ito

Financial markets can seem complex and volatile, but understanding derivatives gives you the power to navigate risk and capitalize on market movements. This text-based course demystifies the core instruments of financial engineering, turning complex mathematical concepts into practical, readable insights. You will transition from a beginner to a confident market participant capable of analyzing and applying derivative strategies. By reading through real-world scenarios and structured explanations, you will understand how institutional traders and risk managers use these instruments to hedge portfolios and speculate responsibly in modern electronic markets. What you'll learn: Understand the fundamental terminology, mechanics, and pricing of forwards, futures, swaps, and options. Analyze how hedgers and speculators use derivative contracts to manage price volatility. Differentiate between exchange-traded and over-the-counter financial instruments. Apply basic options strategies, including calls, puts, and protective hedges, to real-world scenarios. Evaluate modern risk management frameworks and the role of clearinghouses in today's financial ecosystem. The journey begins with essential terminology and the foundational concept of time value, before moving step-by-step through each major asset class—forwards, futures, swaps, and options—concluding with modern risk management practices. This course is designed for aspiring traders, finance students, and professionals looking for a solid, jargon-free introduction to financial engineering, requiring no prior background in advanced mathematics. Start reading today to unlock the core mechanics of modern financial markets.

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  • Maikli at focused
    2 oras 48 min ng practical content

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Introduction to Financial Derivatives for Trading and Risk Management
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Introduction to Financial Derivatives for Trading and Risk Management
Pahina 2 ng 2
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Mga araling natapos 14 / 14
Practice questions 26 / 28
Mga assignment na isinumite 4 (avg 4.5 / 5)
Capstone project Nasuri — 4.6 / 5
Kabuuang practice 6.2 oras
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Cohort rank Top 12% sa 1,625
Oras hanggang matapos 11 araw (median: 22)
Mastery score 91 / 100
Practice-question score 94%
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