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Risk school training courses in Cleveland, OH (public, in-house or online) | ||||
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Managing Business Risk School: New Horizons - Cleveland Venue: Cleveland Tel.: 216-332-7960 Students will learn how to differentiate between traditional and contemporary risk management, identify the factors influencing a risk management model, identify and assess the various types of risks, create and implement a strategic risk management plan. |
Project Risk Management Format: Online School: Mobile Technical Institute Venue: Mobile Tel.: (251) 478-6848 This course was designed as a supplemental study guide for the major content areas of Chapter 11 of A Guide to the Project Management Body of Knowledge (PMBOKĀ® Guide), Fourth Edition. In this course, you will define the core elements of risk management, including the risk register. You will also understand how risks are identified, prioritized, quantified and used in decision-making. |
Project Risk Management: PMI-RMP Exam Prep Format: Online School: Mobile Technical Institute Venue: Mobile Tel.: (251) 478-6848 This completely online and self-paced nine-module risk management course helps educate project managers in identifying and responding to project risk. |
Time Value of Money and Risk Format: Online School: Mobile Technical Institute Venue: Mobile Tel.: (251) 478-6848 This course covers time value of money (TVM) principles and risk and return. You will review the basic TVM techniques used in evaluating all financial decisions and their cash flow implications. For Risk and Return, you will learn how risk influences investment decisions, and how to calculate risk and rates of return. Further, you will explore the benefits of diversification and the use of the portfolio concept in investing.
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Financial Engineering and Risk Management Format: Online School: Golden Gate University Venue: Los Angeles, San Francisco, Santa Clara, Seattle Tel.: 800-448-4968 Covers risk management techniques for corporations and managers of equity, bond and derivative portfolios. Topics include measurement of corporate risk exposure, portfolio risk exposure and value at risk for financial institutions; hedging the price risk of commodities, exchange rates, interest rates and equity markets; credit risk management; portfolio insurance; portfolio immunization; synthetic assets; and computer applications Official Website: http://www.ggu.edu/
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