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Inicio 13 June 2026 14:25
Fin 13 June 2026
7 weeks, 2 hours a week
Actualización opcional disponible
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Paid Course
Actualización opcional disponible
Resumen
Master modern financial markets, fintech, and risk management for FRM II success. Learn how real-world financial systems evolve with technology, liquidity, and global risks.
This course provides a structured and practical understanding of current issues in financial markets, focusing on fintech, blockchain, big data, liquidity risk, repo markets, and global banking dynamics. Designed for FRM Part II candidates and finance professionals, it bridges the gap between theoretical concepts and real-world applications.
You will explore how digital transformation is reshaping financial services, analyze liquidity crises and funding markets, and understand the impact of global USD shortages. The course also covers machine learning applications in finance, exchange rate mechanisms, interest rate parity, and asset-liability management strategies.
By the end of this course, learners will be able to confidently interpret complex financial systems, evaluate risk exposures, and apply advanced financial concepts in both exam and professional settings.
Programa
- Fundamentos de los Mercados Financieros Modernos
- Fintech, Crédito y Transformación Digital
- Ciencia de Datos y Aprendizaje Automático en Finanzas
- Casos de Uso de IA y Fundamentos Bancarios
- Mercados Repo y Crisis Financieras
- Banca Global y Desafíos de Liquidez
- Gestión de Riesgos, FX y Activos-Pasivos
Impartido por
EDUCBA
Materias
Business