Advanced
Advanced Geopolitical Risk Modeling for Investment Decisions
A rigorous, quantitative approach to treating geopolitical risk as an investable factor rather than headline noise. Built for macro-focused investors, fund managers, and senior finance professionals, this course covers the transmission channels through which geopolitical shocks hit trade, currencies, commodities, and capital flows, how to build and use a geopolitical risk index, scenario analysis and stress-testing for portfolios, and sector- and asset-class-level sensitivities. Anchored throughout in Indian market context: India VIX, Nifty drawdowns, RBI intervention, FPI flows, and real events including Balakot, Covid-19, and the Russia-Ukraine war.
MODULES
3
DURATION
~1.7 hrs
TRACK
Macro & Markets
Access Level
LEARNER
Everything included
Full Text Playbooks
Actionable Exercises
Mobile Reading Mode
Lifetime Updates