Market Risk Hedging Strategies – Final Quiz Module
Dive into a fun, immersive, and educational experience with this final mega quiz designed to test your knowledge of market risk hedging strategies. Inspired by the famous TV game show concept with increasing levels, this unique module combines suspense, strategy, and financial expertise to permanently anchor your knowledge.
This module can be taken independently or as the culmination of the complete “Finance, Management Control & Procurement” course, and is aimed at a demanding audience of risk managers, treasurers, and managers wishing to secure their decision-making and better anticipate fluctuations in the financial markets.
Game concept:
You must answer 15 questions of progressive difficulty around the major issues of market risk hedging. To succeed, you must use your knowledge of derivatives, hedging instruments, volatility analysis, and exposure management.
3 levels to complete to secure your gains:
- Level 1: The essentials (questions 1 to 5)
- Level 2: Advanced techniques (questions 6 to 10)
- Level 3: Strategic expertise (questions 11 to 15)
3 jokers to activate according to your strategy:
- 50/50: 2 wrong answers are eliminated
- Expert consultation: access to an index to reframe your thinking
- Second chance: one mistake is not eliminatory (can be used only once)
Why take this module?
- To validate your knowledge in a engaging
- To prepare for your certification or final assessment
- To self-assess at the end of the course or independently discover the topic from an innovative angle
- To enjoy a unique experience at the heart of financial decisions under pressure
This module is 100% online, accessible at your own pace, and designed for optimal memorization through gamification.