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Master critical reasoning tactics for identifying assumptions in arguments, with proven strategies for executive assessments and standardized tests like GMAT through systematic analysis methods.
Master essential strategies for identifying assumptions in GMAT Critical Reasoning questions, including argument analysis, negation testing, and systematic approaches to tackle these challenging verbal tasks.
Explore key investor protection regulations like MiFID, MiFID II, and Dodd-Frank, while examining real-world compliance violation cases and their valuable lessons for financial risk management.
Master critical reasoning techniques to identify flaws in arguments, analyze premises, and tackle complex verbal questions effectively in executive assessments and GMAT exams.
Dive into financial crime management strategies, focusing on fraud risk control frameworks, money laundering prevention, and key insights from the USAA case study for FRM Part 2 certification.
Master critical reasoning tactics for weakening arguments through systematic analysis of premises, conclusions, and common argument types in standardized tests.
Master alternative investment allocation strategies with focus on suitability, asset approaches, liquidity planning, and monitoring programs for CFA Level III exam preparation.
Explore alternative investments' role in portfolio management, covering diversification strategies, risk mitigation, and key considerations for different investment types in multi-asset portfolios.
Master insurance policy modifications through practical examples of deductibles, coinsurance, benefit limits, and inflation calculations for actuarial exam preparation.
Master critical reasoning tactics and argument analysis for the Executive Assessment through proven strategies and step-by-step evaluation techniques for strengthening arguments and modifier usage.
Master normal and lognormal distributions, their properties, and calculations of expected values, variance, moments, mode, median, and percentiles for SOA Exam P preparation.
Master operational risk management fundamentals, from loss data collection and assessment tools to quantitative modeling and capital estimation, with focus on regulatory compliance and business resilience.
Master essential GMAT sentence correction idioms and learn strategic approaches for identifying common errors, comparing quantities, and handling conditionals to boost your exam performance.
Master essential strategies for identifying and correcting modifier errors in sentence construction, focusing on proper usage of adjectives, adverbs, and modifying phrases for the Executive Assessment exam.
Master essential operational risk identification methods and tools for FRM Part 2, including top-down and bottom-up approaches, scenario analysis, and Basel taxonomy classifications.
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