Advanced Certificate in AM Risk Management Framework Framework
-- ViewingNowThe Advanced Certificate in AM Risk Management Framework course is a comprehensive program designed to equip learners with critical skills in risk management. This course is crucial in today's rapidly evolving business landscape, where the ability to manage and mitigate risks is a key determinant of organizational success.
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• Advanced Risk Identification: This unit will cover the latest methods and techniques for identifying risks in the Asset Management (AM) process. It will include a deep dive into risk assessment matrices, risk heat maps, and other advanced risk identification tools.
• Quantitative Risk Analysis Techniques: This unit will focus on the application of statistical and mathematical models in assessing and mitigating risks in the AM framework. Topics covered will include Value at Risk (VaR), Conditional Value at Risk (CVaR), and other advanced quantitative risk analysis techniques.
• Integrating Risk Management into the AM Framework: This unit will explore how to effectively integrate risk management into the overall Asset Management framework. It will cover topics such as risk-based decision making, risk appetite, and risk tolerance.
• Regulatory Compliance and Risk Management: This unit will discuss the regulatory requirements for risk management in the Asset Management industry. It will cover topics such as the Basel III framework, the Dodd-Frank Act, and the European Market Infrastructure Regulation (EMIR).
• Cybersecurity Risk Management: This unit will focus on the unique risks associated with cybersecurity in the Asset Management industry. It will cover topics such as threat intelligence, incident response, and cybersecurity governance.
• Operational Risk Management: This unit will cover the identification, assessment, and mitigation of operational risks in the Asset Management framework. Topics covered will include business continuity planning, disaster recovery, and vendor management.
• Stress Testing and Scenario Analysis: This unit will explore the use of stress testing and scenario analysis in assessing and managing risks in the Asset Management framework. It will cover topics such as reverse stress testing, extreme value theory, and copulas.
• Risk Management for Alternative Investments: This unit will focus on the unique risks associated with alternative investments, such as private equity, hedge funds, and real estate. Topics covered will include due diligence, liquidity risk, and counterparty risk.
• ESG (Environmental, Social, and Governance) Risk Management: This unit will
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