What you'll get
- 123+ Hours
- 15 Courses
- Mock Tests
- Self-paced Courses
- Technical Support
- Case Studies
Synopsis
- Covers a wide range of financial risk topics, such as market and credit risk, operational and integrated risk management, investment-related risk strategies, and the latest trends in financial markets.
- Offers one-year access, allowing learners to study at their own pace.
- Designed for individuals committed to gaining expertise in Financial Risk Management.
- Requires a foundational understanding of finance and mathematics.
- Delivered as a self-paced video course for flexible learning.
- No additional software is necessary.
- Compatible with systems having at least 1 GB RAM.
- Requires basic audio equipment such as speakers or headphones.
Content
| Courses | No. of Hours | Certificates | Details |
|---|---|---|---|
| FRM II 2020:02 - Market Risk Measurement and Management | 6h 22m | ✔ | View Curriculum |
| FRM II 2020:02 - Credit Risk Measurement and Management | 15h 45m | ✔ | View Curriculum |
| FRM II 2020 - Liquidity and Treasury Risk Management and Measurement | 4h 27m | ✔ | View Curriculum |
| FRM II 2020 - Risk Management and Investment Management | 5h 8m | ✔ | View Curriculum |
| FRM II 2020 - Current Issues in Financial Markets | 9h 16m | ✔ | View Curriculum |
| Courses | No. of Hours | Certificates | Details |
|---|---|---|---|
| FRM Level 2 Mock Paper 2020 | 2h 59m | ✔ | View Curriculum |
| FRM 2 Question Paper #1 | 3h | ✔ | View Curriculum |
| Courses | No. of Hours | Certificates | Details |
|---|---|---|---|
| FRM II 2019:01 - Market Risk Measurement and Management | 3h 04m | ✔ | View Curriculum |
| FRM II 2019:02 - Credit Risk Measurement & Management | 13h 03m | ✔ | View Curriculum |
| FRM II 2019:03 - Operational and Integrated Risk Management | 9h 24m | ✔ | View Curriculum |
| FRM II 2019:04 - Risk Management & Investment Management | 8h 15m | ✔ | View Curriculum |
| FRM II 2019:05 - Current Issues In Financial Markets | 4h 14m | ✔ | View Curriculum |
| Courses | No. of Hours | Certificates | Details |
|---|---|---|---|
| FRM Level 2 Updates: 2022 | 28h 22m | ✔ | View Curriculum |
| FRM II 2020 - Operational Risk and Resiliency | 11h 18m | ✔ | View Curriculum |
| FRM Level 2 Market Risk | 2h 13m | ✔ | View Curriculum |
| Courses | No. of Hours | Certificates | Details |
|---|---|---|---|
| No courses found in this category. | |||
Description
This Financial Risk Management training program prepares professionals for the FRM Level 2 examination offered by GARP. The course covers market risk, credit risk, operational and integrated risk management, investment risk strategies, and current financial market trends. Participants gain practical knowledge in futures, options, hedging, arbitrage, margins, risk mapping, discount rate selection, term structure models, correlations, copulas, and estimation methods. The program outlines the FRM Level 2 exam structure, topic weightings, and key concepts.
Offered as a self-paced video program, the course thoroughly covers all six key exam areas: Market Risk (20%), Credit Risk (20%), Operational Risk and Resiliency (20%), Liquidity and Treasury Risk (15%), Risk and Investment Management (15%), and Current Issues in Financial Markets (10%). Participants also benefit from mock exams and exam strategies to improve preparation and confidence. This training is a comprehensive resource for finance professionals seeking to advance their expertise and succeed in the FRM Level 2 exam.
Requirements
- No formal educational or professional prerequisites are required to attempt either part of the FRM exam; however, passing FRM Part I is mandatory before taking FRM Part II.
- Most candidates hold a bachelor’s degree in fields like finance, economics, mathematics, statistics, accounting, or engineering.
- A basic understanding of finance and economics, including the time value of money, risk and return, financial markets, and instruments, is recommended.
- Strong quantitative skills in probability, statistics, and calculus are essential for risk management concepts.
- Relevant work experience in finance or risk management is helpful but not mandatory.
- Study materials from GARP, including textbooks, guides, and practice questions, should be used.
- Exam preparation typically requires 200–300 hours of focused study.
Target Audience
- Bankers, IT, analytics, and finance professionals interested in risk management.
- BTech, MBA, and finance graduates are pursuing careers in financial risk management.
- FRM Level 2 aspirants seeking structured exam preparation.
- Risk managers, financial analysts, and investment professionals are enhancing skills in risk measurement and management.
- Graduate students in finance or related fields are deepening their knowledge of advanced risk concepts.
- Professionals in fintech, blockchain, and corporate finance are exploring risk implications and strategies.
- Regulatory, compliance, and audit professionals stay up to date on risk management practices.
- Consultants aiming to strengthen expertise and advisory capabilities.
- Anyone seeking to broaden their understanding of financial risk management.