Course Category

Financial Literacy

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Financial Literacy This course category is a collection of online resources to assist with financial literacy (in the broadest sense) Go to the Open Risk Academy

Mortgage Modeling

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Mortgage Modeling This course category is a sub-category of the Risk Modeling using Python category that focuses on Mortgage Models of various types. It is relevant for: Developers involved in the development of mortgage risk models using Python Risk managers that use such data science tools to support their function The courses utilize open source tools and frameworks, either developed by Open Risk or available via open source licenses. Scripts and other resources needed for the courses are also available in our github repository

Banking Regulation

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Banking Regulation This category of Open Risk Academy courses covers general topics around banking regulation, regulatory initiatives and related topics. There is a particular (but not exclusive!) focus on important recent European Union regulatory initiatives. More specific areas are covered in separated categories. EU Financial Regulations Quiz Introduction to the EBA NPL Templates Go to the Open Risk Academy

General Courses

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Collection of General / Demonstration Courses. This category includes various general topics. It includes demos and tools that demonstrate the Academy eLearning platform to new users but also introductions to other Open Risk resources like the Open Risk Manual and our Open Source projects The demos enable users to sample a broader area of courses and trial out new technologies. Users can enroll and start a course at any time. Courses in this category is available to any registered user for free.

Data Science

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Data Science This is the collection of Open Risk Academy data science courses. This category includes courses that cover general data science techniques applicable across a range of risk management disciplines. Techniques that might be more specialized to specific areas of risk management and (financial) risk modelling are covered in other course categories. Introduction to Risk Data Review Exploratory Risk Data Analysis using Pandas, Seaborn and Statsmodels An introduction to GeoJSON An introduction to Semantic Data with Python Introduction to the EBA NPL Templates Tensor Calculations using Eigen Go to the Open Risk Academy

Risk Modeling using Python

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Risk Modeling using Python This course category is a collection of online resources to assist different users: Developers involved in the development of risk models using Python Risk managers that use data science tools to support their function The courses utilize open source tools and frameworks, either developed by Open Risk or available via open source licenses. Scripts and other resources needed for the courses are also available in our github repository

Credit Concentration Courses

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Credit Concentration Cycle The Credit Concentration Cycle is a collection of online courses covering diverse aspects of Credit Concentration Risk Management (how to identify, measure and manage credit concentration). The collection includes among others a fast paced (CrashProgram) introduction to the general concept of credit concentration and longer (DeepDive) courses which cover regulatory frameworks around credit concentration and how to measure name, sector and geographic concentration risks in credit portfolios.

Risk Management

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Risk Management This is a collection of online courses covering general topics around financial literacy and risk management principles and tools. The following courses focus primarily on introductory level topics. More advanced topics are typically covered in specialized categories The Shortest Possible Course on Risk Management Risk Management Questions and Answers Open Risk Crossword Puzzles The Periodic Table of Risk Elements Go to the Open Risk Academy

Sustainable Finance

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Courses focusing on Sustainable Finance Collection of courses covering diverse aspects of sustainable finance. Go to the Open Risk Academy