25.8.20
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Risk Management 2024

The Imperial Risk Management programme is expertly designed to help you spot potential financial, corporate, societal, and environmental risks facing your organisation. And to build the practical tools and frameworks to measure and hedge those risks, to bolster your future performance in these unpredictable times. Part of the Imperial Finance & Strategy Programme portfolio, this immersive 5 day course integrates live interactive sessions with Imperial College Business School professors and peers from a broad diversity of backgrounds and geographies. Your learning is enriched by insights from faculty, industry leaders and real-world case studies that help translate concept into practice. Imperial’s Risk Management programme challenges you to think critically and creatively about risk. You emerge from the programme with the understanding and the refreshed capabilities to: - Assess risk management practices and frameworks and apply them to real-world industry contexts - Critically evaluate risk management research and reports - Analyse innovation in risk management practices arising from paradigm shifts in insurance, asset management and global banking - Explore the role of corporate governance and its link to risk

Skills / Knowledge

  • Risk Management
  • Market Risk Management
  • Credit Risk Management
  • Commodity Risk Management
  • Carbon Risk Management
  • Enterprise Risk Management
  • Financial Risk Instruments

Issued on

May 3, 2024

Expires on

Does not expire