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Coursera

Apply Derivatives, Hedging, and Risk Strategies

EDUCBA via Coursera

Overview

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Learners will apply derivatives, evaluate futures and forward pricing, analyze counterparty and foreign exchange risks, and select suitable hedging methods. They will understand how derivatives transfer risk, support price discovery, and protect portfolios from adverse market movements. The course introduces pooled investments, fund structures, returns, derivative basics, futures markets, exchanges, over-the-counter trading, central clearing, counterparty exposure, credit risk, long and short hedges, and optimal hedge ratios. Learners examine how investment vehicles and derivative contracts support diversification and risk management across changing market conditions. What makes this course unique is its direct link between investment funds, contract mechanics, market structure, and practical risk control. Learners study how fund operations, pricing, clearing, and hedging work together rather than viewing each concept separately. This integrated approach strengthens financial reasoning and helps learners compare exposures, choose suitable responses, and explain hedging decisions. The course supports roles in trading, treasury, portfolio management, investment analysis, and financial risk management.

Syllabus

  • Investment Funds and Portfolio Returns
    • This module covers pooled investment vehicles, fund structures, portfolio diversification, returns analysis, and the foundational role of derivatives in investment management.
  • Futures, Hedging, and Counterparty Risk
    • This module examines futures markets, hedging strategies, counterparty risk, central clearing mechanisms, and techniques used to control portfolio exposure.

Taught by

EDUCBA

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