Our Courses

Introduction to Cybersecurity & Risk Management

Introduction to Cybersecurity & Risk Management

In this case-based Specialization, you will be introduced to the field of cybersecurity through the world of security governance and risk management. Throughout this program, you will practice applying foundational concepts of security governance and risk management including: Creating security strategies that align with a company’s goals and objectives.Applying risk assessment techniques to real-world situations.Implementing effective security education, training, and awareness programs.

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  • English
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FinTech: Finance Industry Transformation and Regulation

FinTech: Finance Industry Transformation and Regulation

Objective This Specialization is intended for finance professional who are seeking to develop skills and understanding of FinTech.

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  • English
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Cybersecurity Risk Management Frameworks

Cybersecurity Risk Management Frameworks

In this specialization, you will learn how to define Cybersecurity risk and discuss the threats that create it while you also learn to describe the role of Cybersecurity management in the management of Cybersecurity risk. You will go on to understand the elements of a general risk management framework as well as how to develop and administer a risk management effort. Along the way you will learn about the dominant standards and frameworks in risk management, and the tools used to support them.

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  • English
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A General Approach to Risk Management

A General Approach to Risk Management

Every organization uses its information to support its business operations. When there are threats in the internal and external environments, they create the risk of information loss or damage. This course examines the design and construction of a risk management program, including policies and plans, to support the identification and treatment of risk to the organization’s information assets.

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  • 8 hours
  • English
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Supplier Management

Supplier Management

This course will cover Supplier Selection and Evaluation, Contract Management, Quality & Risk Management, and Ethics. One of the important decisions that a Procurement professional makes is selecting the right supplier.We will cover how to evaluate suppliers, using a very simple evaluation tool, to select the right suppliers. In contract management we will expose you to six different types of contracts that a procurement professional can consider for the contract. We will highlight 10 risk management strategies that will mitigate risks for your firm.

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  • 9 hours
  • English
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What is Compliance?

What is Compliance?

Compliance isn’t only about preventing problems and ensuring that everyone is abiding by laws, rules, and regulations. It’s also about the positive impact a robust and ethical compliance program can have on a business or organization. In this course we will discuss why compliance is important – from the needs facing businesses in highly regulated industries to avoiding fines and penalties to preventing reputational and economic nightmares.

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  • 11 hours
  • English
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Empathy, Data, and Risk

Empathy, Data, and Risk

Risk Management and Innovation develops your ability to conduct empathy-driven and data-driven analysis in the domain of risk management. This course introduces empathy as a professional competency. It explains the psychological processes that inhibit empathy-building and the processes that determine how organizational stakeholders respond to risk. The course guides you through techniques to gather risk information by understanding a stakeholder’s thoughts, feelings, and goals. These techniques include interviewing, brainstorming, and empathy mapping.

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  • 13 hours
  • English
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The Business of Cybersecurity Capstone

The Business of Cybersecurity Capstone

This course intends to make the student familiar with information security management.

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  • 17 hours
  • English
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FinTech Security and Regulation (RegTech)

FinTech Security and Regulation (RegTech)

This course "FinTech Security and Regulation (RegTech)" help you to understand RegTech and to become more confident and persuasive in your ability to analyze and make recommendations to executives within the finance industry regarding how to react to these changes, e.g. Regulations to cryptocurrencies like BitCoin & Initial Coin Offering (ICO).

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  • 15 hours
  • English
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Python and Machine Learning for Asset Management

Python and Machine Learning for Asset Management

This course will enable you mastering machine-learning approaches in the area of investment management. It has been designed by two thought leaders in their field, Lionel Martellini from EDHEC-Risk Institute and John Mulvey from Princeton University.

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  • 16 hours
  • English
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FinTech Risk Management

FinTech Risk Management

This course “FinTech Risk Management” help you understand risk management and corporate governance in finance industry with the disruption by FinTech and RegTech.

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  • 15 hours
  • English
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Dominant Risk Management Standards and Frameworks

Dominant Risk Management Standards and Frameworks

Organizations with little experience in risk management will want to look to national and international organizations for guidance in designing and implementing their risk management efforts. There are two dominant organizations that offer guidance in this area: the U.S. National Institute for Standards in Technology (NIST) and the International Standards Organization. This course examines the risk management frameworks and standards offered by these organization and then discusses other available approaches.

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  • 8 hours
  • English
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Managing Supply Chain Disruption During COVID-19

Managing Supply Chain Disruption During COVID-19

In this course, you will learn about why and how supply chains become susceptible to a disruption. We will examine this by discussing supply side and demand side issues, primary supply chain flows, complexity, risk management and a combination of solid theoretical supply chain perspectives and current real-world stories. You will learn about the structural, relational and operational factors that come into play during a supply chain disruption and the mechanisms for the effective management of these factors.

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  • 10 hours
  • English
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Portfolio Diversification using Correlation Matrix

Portfolio Diversification using Correlation Matrix

By the end of the project, you will be able to apply correlation matrix in portfolio diversification. ATTENTION: To take this course, it is required that you are familiar basic financial risk management concepts. You can gain them by taking the guided project Compare Stock Returns with Google Sheets. Note: This course works best for learners who are based in the North America region.

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  • 2 hours
  • English
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Cybersecurity and Its Ten Domains

Cybersecurity and Its Ten Domains

This course is designed to introduce students, working professionals and the community to the exciting field of cybersecurity. Throughout the MOOC, participants will engage in community discourse and online interaction. Participants will gain knowledge and understanding of cybersecurity and its domains.

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  • 24 hours
  • English
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Reinforcement Learning in Finance

Reinforcement Learning in Finance

This course aims at introducing the fundamental concepts of Reinforcement Learning (RL), and develop use cases for applications of RL for option valuation, trading, and asset management.

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  • 17 hours
  • English
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Introduction to Risk Management

Introduction to Risk Management

In this course, you will learn about risk assessment techniques and how to implement a number of strategies that will ensure the protection of assets. You will learn about the relationship between assets, vulnerabilities, threats, and risks. You will also engage with a number of current case studies in the industry that illustrate the material. You will leave the course with skills relating to threat modeling and business continuity planning that have direct applications at your current job or in your future career.

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  • 16 hours
  • English
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Project Planning: Putting It All Together

Project Planning: Putting It All Together

This is the third course in the Google Project Management Certificate program. This course will explore how to map out a project in the second phase of the project life cycle: the project planning phase. You will examine the key components of a project plan, how to make accurate time estimates, and how to set milestones. Next, you will learn how to build and manage a budget and how the procurement processes work. Then, you will discover tools that can help you identify and manage different types of risk and how to use a risk management plan to communicate and resolve risks.

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  • 29 hours
  • English
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  • AED 170.99 + VAT
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A Strategic Approach to Cybersecurity

A Strategic Approach to Cybersecurity

Cybersecurity affects everyone, including in the delivery of basic products and services. If you or your organization want to better understand how to address your cybersecurity, this is the course for you and your colleagues to take -- from seasoned professionals to your non-technical colleagues. Your instructor, Dr. Charles Harry, has served on the front lines with the NSA (National Security Agency) and as an expert advising corporate and institutional leaders on managing cybersecurity risk. And he brings a rare and engaging perspective to help you learn cybersecurity from the ground up.

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  • 10 hours
  • English
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Financial Markets

Financial Markets

An overview of the ideas, methods, and institutions that permit human society to manage risks and foster enterprise. Emphasis on financially-savvy leadership skills. Description of practices today and analysis of prospects for the future. Introduction to risk management and behavioral finance principles to understand the real-world functioning of securities, insurance, and banking industries. The ultimate goal of this course is using such industries effectively and towards a better society.

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  • 33 hours
  • English
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Pricing Options with Mathematical Models

Pricing Options with Mathematical Models

This is an introductory course on options and other financial derivatives, and their applications to risk management. We will start with defining derivatives and options, continue with discrete-time, binomial tree models, and then develop continuous-time, Brownian Motion models. A basic introduction to Stochastic, Ito Calculus will be given. The benchmark model will be the Black-Scholes-Merton pricing model, but we will also discuss more general models, such as stochastic volatility models.

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  • 69 hours
  • English
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Portfolio and Risk Management

Portfolio and Risk Management

In this course, you will gain an understanding of the theory underlying optimal portfolio construction, the different ways portfolios are actually built in practice and how to measure and manage the risk of such portfolios. You will start by studying how imperfect correlation between assets leads to diversified and optimal portfolios as well as the consequences in terms of asset pricing. Then, you will learn how to shape an investor's profile and build an adequate portfolio by combining strategic and tactical asset allocations.

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  • 8 hours
  • English
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Portfolio Selection and Risk Management

Portfolio Selection and Risk Management

When an investor is faced with a portfolio choice problem, the number of possible assets and the various combinations and proportions in which each can be held can seem overwhelming. In this course, you’ll learn the basic principles underlying optimal portfolio construction, diversification, and risk management. You’ll start by acquiring the tools to characterize an investor’s risk and return trade-off. You will next analyze how a portfolio choice problem can be structured and learn how to solve for and implement the optimal portfolio solution.

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  • 23 hours
  • English
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Corporate Finance II: Financing Investments and Managing Risk

Corporate Finance II: Financing Investments and Managing Risk

In this course you will learn how companies decide on how much debt to take, and whether to raise capital from markets or from banks. You will also learn how to measure and manage credit risk and how to deal with financial distress. You will discuss the mechanics of dividends and share repurchases, and how to choose the best way to return cash to investors. You will also learn how to use derivatives and liquidity management to offset specific sources of financial risk, including currency risks.

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  • 19 hours
  • English
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