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FRM Part II


288
Learners
GARP logo
The FRM is a globally recognized benchmark certification program for financial risk managers and is considered to be the de-facto global qualification in the practice of Financial Risk Management according to industry sources.
Course Faculty
Mr. Sanjoy Choudhury
A financial market professional with 20+ years experience more>>
Course Offerings
40 Lecture Topics
11+ Hours of Video Lectures
Interactive Discussion Forum
WhatsApp group for Brainstorming
Courseware
( Can be downloaded as pdf )
Flash Card
( Can be downloaded as pdf )
Question Bank
( Can be downloaded as pdf )
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This course has a
Online Training

  • 180 Days access to HD Video Lecture delivered by industry experts
  • Interactive Discussion Forum for solving queries.
  • WhatsApp group for Brainstorming
  • Lifetime access to Study Materials(Courseware, Flash Card, Question Bank)
USD 133.33/USD 88.89
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Corporate Training

  • Hybrid (Online + Onsite) Learning Approach.
  • White Labeled Learning Management System (LMS).
  • Standard/customizable dashboards for individuals and teams.
  • Affordable Pricing.
  • Dedicated Account Manager.
Course Overview


The FRM is a globally recognized benchmark certification program for financial risk managers and is considered to be the de-facto global qualification in the practice of Financial Risk Management according to industry sources.

Course Curriculum
1 Market Risk Measurement and Management Part 1 Preview 17:57
2 Market Risk Measurement and Management Part 2 18:40
3 Market Risk Measurement and Management Part 3 22:16
4 Market Risk Measurement and Management Part 4 22:41
5 Market Risk Measurement and Management Part 5 18:01
6 Market Risk Measurement and Management Part 6 15:32
7 Summary 02:07
8 Credit Risk Measurement and Management Part 1 18:12
9 Credit Risk Measurement and Management Part 2 12:41
10 Credit Risk Measurement and Management Part 3 19:03
11 Credit Risk Measurement and Management Part 4 14:15
12 Credit Risk Measurement and Management Part 5 24:11
13 Credit Risk Measurement and Management Part 6 25:51
14 Credit Risk Measurement and Management Part 7 24:36
15 Credit Risk Measurement and Management Part 8 17:00
16 Credit Risk Measurement and Management Part 9 15:23
17 Credit Risk Measurement and Management Part 10 18:53
18 Credit Risk Measurement and Management Part 11 16:52
19 Credit Risk Measurement and Management Part 12 13:24
20 Summary 03:38
21 Operational and Integrated Risk Management Part 1 16:59
22 Operational and Integrated Risk Management Part 2 12:18
23 Operational and Integrated Risk Management Part 3 24:00
24 Operational and Integrated Risk Management Part 4 19:25
25 Operational and Integrated Risk Management Part 5 16:26
26 Summary 01:47
27 Risk Management and Investment Management Part 1 19:54
28 Risk Management and Investment Management Part 2 15:20
29 Risk Management and Investment Management Part 3 16:07
30 Risk Management and Investment Management Part 4 15:03
31 Risk Management and Investment Management Part 5 13:30
32 Risk Management and Investment Management Part 6 13:22
33 Risk Management and Investment Management Part 7 21:32
34 Summary 02:26
35 Current Issues in Financial Markets Part 1 21:08
36 Current Issues in Financial Markets Part 2 18:12
37 Current Issues in Financial Markets Part 3 22:54
38 Current Issues in Financial Markets Part 4 13:08
39 Current Issues in Financial Markets Part 5 15:17
40 Summary 03:29

Eligibility Criteria

Eligibility criteria for FRM

The candidate should have cleared FRM Part 1 before appearing for this exam.

Ratings & Reviews
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Course Expert
Mr. Sanjoy Choudhury
He is Principal - Radiant Consulting, spearheading Radiant Consulting's Treasury and Risk Consulting, Training and Research business globally including product and services offering to clients across all asset classes. He is an experienced financial market professional in the Banking & Financial Services Industry with 20+ years experience spread across various organizations. He is a multi-skilled OTC Derivatives and Financial Risk professional with extensive knowledge and experience of Pricing, Valuation, Financial Derivatives Modelling, Hedging and Risk of Interest Rate, FX, Equity and Credit Derivatives including financial research, analysis and training.

Sanjoy has been associated with Bespoke Consulting as Executive Director, Cogencis (erstwhile NewsWire18) as Head - Risk Analytics, GlobeOp Financial Services as Director - Pricing & Valuations, ICICI Bank as Chief Manager - Risk Analytics, Indian Quotation Systems (Telerate) as Product Manager - Fixed Income, Times of Money as Manager - Debt Research and Credence Analytics as Head of Research - Fixed Income. Sanjoy holds a B.Sc. (Physics) and MBA (Finance) qualification from University of Calcutta and a Financial Risk Manager (FRM) from Global Association of Risk Professionals (GARP), New York. Sanjoy is also a visiting faculty at National Institute of Securities Management (NISM) for their Certificate in Financial Engineering and Risk Management (CFERM) course and at Institute of Technology & Management for their Post Graduate Diploma in Business Management (PGDBM) program besides taking occasional classes on Treasury and Risk Management at other institutes.
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