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Calculate VaR: Market Risk Measurement
Coursera
Course
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Calculate VaR: Market Risk Measurement

Coursera

Learn to calculate and interpret Value at Risk (VaR) to assess market risk and support informed financial decisions using real-world data.

Unknown1 weeksEnglish

About this Course

Value at Risk (VaR) is one of the most widely used tools for measuring market risk; however, understanding what it truly represents is essential for making informed financial decisions. In this intermediate-level course, you’ll learn how to interpret, calculate, and communicate VaR results using real-world financial data. You’ll start by exploring the purpose and limitations of VaR, why it became the global standard for summarizing portfolio exposure, and where it can fall short during extreme market events. Then, you’ll apply the historical simulation method to estimate potential losses and identify meaningful outliers that shape weekly risk dashboards. Through short videos, guided readings, and hands-on labs, you’ll translate quantitative findings into clear, decision-ready insights. By the end, you’ll be able to compute VaR confidently, explain its meaning to diverse audiences, and use it responsibly as part of professional market risk analysis and reporting

What You'll Learn

  • Interpret and calculate Value at Risk (VaR)
  • Communicate VaR results clearly using real financial data
  • Apply the historical simulation method to estimate potential losses
  • Identify significant outliers affecting risk dashboards
  • Use VaR responsibly in professional market risk analysis

Prerequisites

  • Basic familiarity with risk terminology
  • Readiness for applied exercises

Instructors

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ansrsource instructors

ansrsource instructors

Topics

Finance
Business
Probability and Statistics
Data Science
Data Presentation
Business Risk Management
Quantitative Research
Risk Analysis
Investment Management
Financial Forecasting

Course Info

PlatformCoursera
LevelUnknown
PacingUnknown
PriceFree

Skills

المالية
إدارة الأعمال
الاحتمالات والإحصاء
علوم البيانات
عرض البيانات
إدارة المخاطر التجارية
البحث الكمي
تحليل المخاطر
Investment Management
Financial Forecasting

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