Financial Derivatives and Risk Management: A Practical Guide — PickAClass
⏱ 2h 48m 📚 28 lessons 🎧 Audio version

Financial Derivatives and Risk Management: A Practical Guide

Learn how to price financial derivatives, hedge investment portfolios, and manage market risk using modern quantitative frameworks and real-world strategies.

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About this course

Navigating volatile financial markets requires a deep understanding of risk management and the powerful instruments used to mitigate it. This text-based course guides you through the foundational principles of financial derivatives, showing you how to analyze and structure options, futures, forwards, and swaps. You will transition from understanding basic market terminology to confidently evaluating risk exposure and implementing strategic hedges. What you'll learn: - Understand the fundamental mechanics of forwards, futures, options, and swaps - Apply standard pricing models, including the Black-Scholes framework, to value options - Analyze risk using modern quantitative metrics such as Value at Risk (VaR) and Expected Shortfall - Design hedging strategies to protect investment portfolios from adverse market movements - Evaluate counterparty credit risk and current regulatory frameworks governing derivative markets Starting with core definitions and market structures, the text guides you through mathematical pricing concepts, practical hedging applications, and modern risk management methodologies. This course is designed for beginners in finance, business students, and aspiring risk analysts, requiring no prior experience with derivatives. Start reading today to build a solid foundation in derivative markets and risk control.

What you'll get

  • 📜 Certificate of completion
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  • 💬 Personal AI tutor
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  • 🎧 Audio version included
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  • ♾️ Lifetime access
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  • 📱 Phone or computer
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  • 💸 14-day refund
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  • Short & focused
    2h 48m of practical content

Certificate of completion

Every course you complete on PickAClass issues a credential like this — original, with its own code, verifiable by URL, and detailed about what was actually demonstrated.

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Certificate of Mastery
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Name Surname
has successfully demonstrated mastery of
Financial Derivatives and Risk Management: A Practical Guide
Skills demonstrated
Behavioral pattern analysis
Foundational
1.2 hrs
Decision-architecture frameworks
Proficient
1.4 hrs
A/B test design
Proficient
1.7 hrs
Behavioral copywriting
Advanced
1.9 hrs
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PickAClass — Name Surname
Financial Derivatives and Risk Management: A Practical Guide
Page 2 of 2
Performance detail
Coursework summary
Lessons completed 14 / 14
Practice questions 26 / 28
Assignments submitted 4 (avg 4.5 / 5)
Capstone project Reviewed — 4.6 / 5
Total practice 6.2 hrs
Performance benchmark
Cohort rank Top 12% of 1,625
Time to completion 11 days (median: 22)
Mastery score 91 / 100
Practice-question score 94%
Skill verification Verified Skill Path
Verify this credential
pickaclass.com/certificates/PCC-2026-X4F7-AP19
Issued under the academic standards of PickAClass. Skill levels reflect assessed performance against the course's competency rubric. This is an original credential of this platform.

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What do I need to take this course? +

Just a phone or computer with internet. No installs, no special hardware.

How do I pay? +

By card via Stripe. We don’t store card details — Stripe handles them securely.

Can I get a refund? +

Yes — full refund within 14 days, no questions asked.

How long will I have access? +

Forever. Once you purchase, the course is yours to revisit anytime.

Will I get a certificate? +

Yes. On completion you'll receive a certificate you can add to your LinkedIn profile.

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