Financial Risk Manager (FRM) Certification: Level II

BY
Udemy

Mode

Online

Fees

₹ 1999

Quick Facts

particular details
Medium of instructions English
Mode of learning Self study
Mode of Delivery Video and Text Based

Course and certificate fees

Fees information
₹ 1,999
certificate availability

Yes

certificate providing authority

Udemy

The syllabus

Introduction FRM-II

  • Introduction FRM-II

Market Risk Measurement and Management

  • Volatility Smiles
  • Exotic Options part I
  • Exotic Options part II
  • The Science of Term Structure Models I
  • The Science of Term Structure Models II
  • The Evolution of Short Rates and the Shape of the Term Structure
  • The Art of Term Structure Models: Drift Part-I
  • The Art of Term Structure Models: Drift Part-II
  • The Art of Term Structure Models: Volatility and Distribution
  • Basics of Residential Mortgage Backed Securities
  • Backtesting VaR
  • VaR Mapping
  • Estimating Market Risk Measures
  • Non parametric approaches Part1
  • Non-parametric Approaches part II
  • Appendix—Modeling Dependence: Correlations and Copulas
  • Parametric Approaches (II): Extreme Value part I
  • Parametric Approaches (II): Extreme Value part II
  • Overview of Mortgages and the Consumer Mortgage Market
  • Overview of the Mortgage-Backed Securities Market
  • Techniques for Valuing MBS
  • Risk Measurement for the trading book

Credit Risk Measurement And Management

  • Understanding The Securitization Of Subprime Mortgage Credit Part I
  • Understanding The Securitization Of Subprime Mortgage Credit Part Ii
  • Credit Derivatives And Credit-Linked Notes Part I
  • Credit Derivatives And Credit-Linked Notes Part Ii
  • The Structuring Process
  • Securitization
  • Cash Collateralized Debt Obligations
  • Default Risk: Quantitative Methodologies Part-I
  • Default Risk: Quantitative Methodologies Part-Ii
  • Default Risk: Quantitative Methodologies Part-Iii
  • Credit And Counterparty Risk
  • Spread Risk And Default Intensity Models
  • Portfolio Credit Risk
  • Structured Credit Risk
  • Defining Counterparty Credit Risk
  • Mitigating Counterparty Credit Risk
  • Quantifying Counterparty Credit Exposure, I
  • Quantifying Counterparty Credit Exposure, Ii: The Impact Of Collateral
  • Pricing Counterparty Credit Risk, I
  • Credit Risks And Credit Derivatives I
  • Credit Risks And Credit Derivatives Ii
  • Credit Risks And Credit Derivatives Iii

Operational And Integrated Risk Management

  • Capital Allocation And Performance Measurement
  • Range Of Practices And Issues In Economic Capital Frameworks
  • Estimating Liquidity Risks
  • Model Risk
  • Assessing The Quality Of Risk Measures
  • Liquidity And Leverage Part I
  • Liquidity And Leverage Part Ii
  • Liquidity And Leverage Part Iii
  • Enterprise Risk Management: Theory And Practice
  • A Review Of The Key Issues In Operational Risk Capital Modeling
  • Challenges And Pitfalls In Measuring Operational Risk From Loss Data
  • Failure Mechanics Of Dealer Banks
  • Principles For The Sound Management Of Operational Risk
  • Observations On Developments In Risk Appetite Frameworks And It Infrastructure
  • Stress Testing Banks
  • “Basel Ii: International Convergence Of Capital Measurement And Capital Standard
  • Basel Iii: A Global Regulatory Framework For More Resilient Banks And Banking Sy
  • Basel Iii: International Framework For Liquidity Risk Measurement, Standards And
  • Revisions To The Basel Ii Market Risk Framework—Updated As Of 31 December 2010
  • Operational Risk—Supervisory Guidelines For The Advanced Measurement Approaches
  • Nadine Gatzert, Hannah Wesker, “A Comparative Assessment Of Basel Ii/Iii And Sol

Risk Management And Investment Management

  • Portfolio Construction
  • Portfolio Risk: Analytical Methods I
  • Portfolio Risk: Analytical Methods Ii
  • Var And Risk Budgeting In Investment Management
  • Risk Monitoring And Performance Measurement
  • Empirical Evidence On Security Returns
  • Portfolio Performance Evaluation
  • Overview Of Hedge Funds
  • Hedge Fund Investment Strategies
  • Overview Of Private Equity
  • Hedge Funds
  • Risk Management For Hedge Funds: Introduction And Overview
  • Trust And Delegation
  • Madoff: A Riot Of Red Flags

Current Issues In Financial Markets

  • Sovereign Creditworthiness And Financial Stability: An International Perspective
  • Of Runes And Sagas: Perspectives On Liquidity Stress Testing Using An Iceland Ex
  • Tails Of The Unexpected
  • The Dog And The Frisbee
  • Challenges Of Financial Innovation
  • Exchange-Traded Funds, Market Structure And The Flash Crash

Conclusion Frm-Ii

  • Conclusion Frm-Ii

Frm-Ii : Quizzes

  • Quiz #1
  • Quiz #2
  • Quiz #3
  • Quiz #4
  • Quiz #5
  • Quiz #6

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