FRM Level 1
Foundations of Risk Management
Finance and Accounting,Compliance,Risk Management
Lectures -174
Duration -22 hours
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Course Description
The Financial Risk Manager is a designated post offered to those who have been internationally certified after passing the FRM Level Exams. This certification is issued and offered by Global Association of Risk Professionals (GARP). The exam has two phases, Level I and Level II. Both the exams have a curriculum that extensively covers the major topics involved in risk management.
In this training we are sticking to the curriculum as suggested by GARP which includes the following topics:
- Need for risk management
- Risk management failures
- Investors and risk management
- Creating value with risk management
- Enterprise risk management
- Code of conduct
Target Customers:
- Professionals who are in the financial risk management sector
- Novice aspirants having the basic knowledge about finance can go for this prep course too and can be benefitted after passing the exam.
- Professionals like analysts, bankers, managers in this industry can enhance their career prospect.
Prerequisites
- Basic knowledge of finance terms
- Passion to learn
Curriculum
Check out the detailed breakdown of what’s inside the course
Foundations of Risk Management
35 Lectures
- Introduction to Foundations of Risk Management 05:52 05:52
- What is Risk 08:00 08:00
- Tools and Procedure to Measure 09:36 09:36
- Marginal Distribution on Deviation 08:53 08:53
- Objective of Risk Management 09:16 09:16
- Risk Management Helicopter View 10:24 10:24
- Describe Risk Management Process 07:22 07:22
- Identify Problems of RM Process 12:48 12:48
- Identify Problems of RM Process Continues 10:11 10:11
- Quantitative Measures VaR 10:21 10:21
- Illustration of VaR 12:43 12:43
- Stress Testing 05:43 05:43
- Enterprise Risk Management 09:54 09:54
- Unexpected Losses 07:13 07:13
- Risk Reward Trade off 08:05 08:05
- Risk Reward Trade off Continues 07:12 07:12
- Government Bond and Corporate Bond Yield 04:55 04:55
- Examining Risk and Reward Relationship 06:54 06:54
- Classes of Risk 11:54 11:54
- Classes of Risk Continues 11:26 11:26
- Credit Risk 10:06 10:06
- Bankruptcy Risk 07:23 07:23
- Downgrade Risk 08:07 08:07
- Downgrade Risk Continues 04:59 04:59
- Settlement Risk 07:18 07:18
- Steps to Mitigate Credit Risk 01:47 01:47
- Diversification 06:00 06:00
- Liquidity Risk 08:00 08:00
- Sub Types of Operational Risk 03:39 03:39
- Business Risk 09:45 09:45
- Reputation Risk 07:53 07:53
- Value At Risk 10:32 10:32
- Calculation of Var 09:20 09:20
- RMH - Questions and Answers 11:56 11:56
- Strategic Risk 09:13 09:13
Quantitative Analysis Probabilities
14 Lectures
Financial Markets and Products
42 Lectures
Valuation and Risk Models
83 Lectures
Instructor Details
Corporate Bridge Consultancy Private Limited
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