Riscos Financeiros (Crédito, Mercado e Liquidez) (Coursera)

Offered by FIA Business School,
Riscos Financeiros (Crédito, Mercado e Liquidez) (Coursera)

Nossas boas-vindas ao Curso Riscos Financeiros (Crédito, Mercado e Liquidez). Neste curso, você aprenderá sobre conceitos associados à seleção da carteira de investimento, à análise de retorno e riscos que são utilizados na gestão de carteiras e a conceitos sobre modelos utilizados na precificação e alocação dos ativos.

Class Deals by MOOC List - Click here and see Coursera's Active Discounts, Deals, and Promo Codes.

Ao final deste curso, você será capaz de:

  • Reconhecer o risco e retorno de um ativo;
  • Entender a teoria de carteira;
  • Realizar o Apreçamento de ativo de capital;
  • Mensurar a gestão e performance de risco.

Este curso é composto por quatro módulos, disponibilizados em semanas de aprendizagem. Cada módulo é composto por vídeos, leituras e testes de verificação de aprendizagem. Ao final de cada módulo, temos uma avaliação de verificação dos conhecimentos.
Estamos muito felizes com sua presença neste curso e esperamos que você tire o máximo de proveito dos conceitos aqui apresentados.
Bons estudos!
Course 3 of 4 in the Mercado de Capitais Specialization.

Syllabus

WEEK 1
Risco e Retorno de um Ativo
Mercado Eficiente como aquele em que os preços dos ativos refletem completamente todas as informações disponíveis. O conceito de mercado eficiente é um dos que causa os mais calorosos debates entre os acadêmicos e os participantes do mercado financeiro.

WEEK 2
Teoria de Carteiras
A chamada Moderna Teoria de Portfólios nasceu na década de 50, com o trabalho de Harry Markowitz intitulado “Portfolio Seletion”. Estudaremos as principais conclusões de Markowitz, principalmente no que se refere ao efeito diversificação.

WEEK 3
Modelo de Apreçamento de Ativos (CAPM)
O Capital Asset Pricing Model, conhecido como CAPM, é um dos pontos centrais da moderna Teoria dos Portfólios, criação de William Sharpe em 1964. Fornece um modelo teórico para avaliação do retorno esperado em relação ao risco de um ativo.

WEEK 4
Mensuração, Gestão de Performance e Risco
Existem diversas medidas de risco para avaliação como risco de crédito, risco de liquidez e risco de mercado. É preciso saber identificar e mensurá-los.

Go to Class
MOOC List is learner-supported. When you buy through links on our site, we may earn an affiliate commission.

Related Courses

More Introduction to Financial Accounting (Coursera) Coursera
University of Pennsylvania

More Introduction to Financial Accounting (Coursera)

The course builds on my Introduction to Financial Accounting course, which you should complete first. In this course, you will learn how to read, understand, and analyze most of the information provided by companies in their financial statements. These skills will help you make more informed decisions using financial information.

Jun 8th 2026
5-12 Weeks
Managing Employee Performance (Coursera) Coursera
Starweaver

Managing Employee Performance (Coursera)

In today's dynamic business environment, effective performance management is a crucial skill that sets exceptional leaders apart. This course is designed to equip managers with the principles and techniques required to manage employee performance successfully. Learners will gain a comprehensive understanding of performance management, including setting clear expectations, providing regular feedback, and conducting performance evaluations.

Jun 8th 2026
1 Week
The Manager's Toolkit: A Practical Guide to Managing People at Work (Coursera) Coursera
University of London,Birkbeck, University of London

The Manager's Toolkit: A Practical Guide to Managing People at Work (Coursera)

The aim of this course is to give you a practical guide to managing people at work. It does not matter whether you are a first time manager in a shop or a middle manager in an office environment; the same skills apply to every work place. In the course you will engage with some HR theories and then see how they translate into every day working life.

Jun 8th 2026
5-12 Weeks
Finance for Everyone: Markets (Coursera) Coursera
McMaster University

Finance for Everyone: Markets (Coursera)

Markets begins with one of the most common and important elements of the financial system – interest rates. You will learn why interest rates have always been a key barometer in determining the value of everything. You will explore the changing influence of interest rates; the impact of interest rates on consumption, investment and economic growth; and the bizarre realities of negative interest rates. Markets explains how interest rates change the value of all financial instruments, highlighting the role of the bond and stock markets that have toppled empires

Jun 1st 2026
4 Weeks
Global Trends for Business and Society (Coursera) Coursera
University of Pennsylvania

Global Trends for Business and Society (Coursera)

In this course, you’ll learn to analyze rapidly changing global trends, their effects on consumer and labor markets, financial systems, and geopolitical relationships among countries all over the world. Professor Mauro Guillen of the Wharton School has designed this course to help you understand the magnitude of influence these trends have on the business world and society.

Jun 1st 2026
4 Weeks
Fundamentos de Gerenciamento com o 10,000 Women da Goldman Sachs (Coursera) Coursera
Goldman Sachs

Fundamentos de Gerenciamento com o 10,000 Women da Goldman Sachs (Coursera)

Este curso online gratuito é um dos 10 cursos disponíveis na coleção 10,000 Women da Goldman Sachs, projetado para empreendedoras prontas para levar seus negócios para o próximo nível. Este curso foca no recurso mais crítico para o crescimento de sua empresa – seus funcionários. Entender sobre a gestão de recursos humanos abrange uma variedade de tópicos, desde o recrutamento e seleção de funcionários, até a gestão de desempenho e treinamento e desenvolvimento dos mesmos.

Jun 1st 2026
1 Week
Financial Statement Applications (Coursera) Coursera
Illinois Tech

Financial Statement Applications (Coursera)

This course is designed for students to develop an advanced financial analysis skill set. Throughout this course, students will be exposed to various quantitative tools and qualitative methods to determine the financial health and risk of selected U.S. public companies. The skills developed in this course will have direct application to credit analysis, financial analysis, and investment analysis.

Jun 8th 2026
5-12 Weeks
Understanding Financial Markets (Coursera) Coursera
University of Geneva

Understanding Financial Markets (Coursera)

In this course, you will learn what the main financial markets and their characteristics are as well as how they are linked to the economy. Our very diversified team of experts will start by teaching you how the price of stocks and bonds are computed and why they move while you will become increasingly aware of the notion of risk and why it matters when measuring an investment's performance. The focus will then move to less popular markets such as gold, emerging markets, real estate, hedge funds and private markets.

Jun 8th 2026
4 Weeks
The Role of Global Capital Markets (Coursera) Coursera
University of Melbourne

The Role of Global Capital Markets (Coursera)

In this course, participants will learn about how different markets around the world can interact to create value for, and effectively manage the risk of, corporations and their stakeholders. This is part of a Specialization in corporate finance created in partnership between the University of Melbourne and Bank of New York Mellon (BNY Mellon).

Jun 8th 2026
4 Weeks
Crédito y cobranza (Coursera) Coursera
Universidad Nacional Autónoma de México

Crédito y cobranza (Coursera)

Este curso, ofrecido por la UNAM, se enfoca en la función crediticia, es decir, la importancia del crédito en el ciclo de los negocios, la determinación de necesidades de un departamento de crédito, las políticas de crédito, análisis de los solicitantes, así como su emisión, y todo lo relacionado con la recuperación de éstos, minimizando en todo momento los riesgos de incobrabilidad.

Jun 1st 2026
5-12 Weeks
Investments I: Fundamentals of Performance Evaluation (Coursera) Coursera
University of Illinois at Urbana-Champaign

Investments I: Fundamentals of Performance Evaluation (Coursera)

In this course, we will discuss fundamental principles of trading off risk and return, portfolio optimization, and security pricing. We will study and use risk-return models such as the Capital Asset Pricing Model (CAPM) and multi-factor models to evaluate the performance of various securities and portfolios. Specifically, we will learn how to interpret and estimate regressions that provide us with both a benchmark to use for a security given its risk (determined by its beta), as well as a risk-adjusted measure of the security’s performance (measured by its alpha).

Jun 3rd 2026
4 Weeks