Financial Risk Manager (FRM) Certification: Level II
About this course
FRM - Level II tests a candidate’s knowledge and understanding of the modern risk management practices. There will be 80 questions in the exam, which needs to be completed in 4 hours time. There are in total 5 topics in FRM - II, the first one is Market Risk Measurement and Management which has weightage of 25%, Credit Risk Measurement and Management has 25%, Operational and Integrated Risk Management has 25%, Risk Management and Investment Management has 15%, Current Issues in Financial Markets has 10% weightage. This course will give you access to: Recordings for all the topics of FRM - IIMock TestsTopic wise Questions with Explanatory answersComprehensive Reading Material for all the topics24X7 Online Access to Course MaterialForums to interact with faculty and fellow students
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What you'll learn
- apply quantitative techniques for measuring market risk
- evaluate credit risk models and mitigation strategies
- manage operational risk and integrate risk frameworks across an organization
- assess investment risk and incorporate risk considerations into portfolio decisions
- interpret current issues affecting financial markets and their risk implications
Course objectives
- cover each FRM Level II syllabus topic in depth
- provide practice questions and mock exams that simulate the actual test conditions
- offer explanatory answers to deepen conceptual understanding
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