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          融躍教育

          FRM二級VIP智播課

          價格: 詳情咨詢官方客服

          課程簡介: 該課程由融躍教育FRM研究院擁有多年工作經驗與教學經驗的精英講師親自授課,緊貼FRM考試新大綱,通過直播師生互動、錄播回放鞏固復習等多元化的教學方式,輔以高品質的在線學習平臺,突破傳統教學的限制。享受專屬班主任督學、定制學習計劃、不限次數答疑、社群學習等模式,讓學員在學到知識的同時,快速通過考試。

          視頻有效期:12個月

          視頻時長:約207小時

          詳情介紹

          課程大綱

          {in name="user_id" value="21644"} {/ in}

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          課程試聽 推薦

          • FRM沖刺私播密訓營(二級)
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          FRM二級

          • 1.沖刺直播

            • 操作風險

            • current issue

            • 流動性風險

            • 市場風險

            • 投資風險

            • 信用風險

            • 模擬機考

          前導入門班

          • 1.2023年考綱解讀

            • 考綱解讀

          • 2.市場風險

            • 市場風險

          • 3.信用風險

            • 信用風險

          • 4.操作風險

            • 操作風險

          基礎精講班

          • 1.市場風險

            • 0 - Introduction

            • 1 - Estimate market risk measurement

            • 2 - Non-parametric approaches

            • 3 - ParametricApproaches (II):Extreme Value

            • 4 - backtesting VaR

            • 5 - VaR Mapping

            • 6 - Messages from the Academic Literature on Risk Management for the Trading Book

            • 7 - Correlation Basics:Definitions, Applications, and Terminology

            • 8 - Empirical Properties of Correlation: How Do Correlations Behave in the Real World?

            • 9 - Financial Correlation Modeling-Bottom-Up Approaches

            • 10 - Empirical Approaches to Risk Metrics and Hedging

            • 11 - The Science ofTerm Structure Models

            • 12 - The Evolution of Short Rates and the Shape of the Term Structure

            • 13 - The Art of Term Structure Model: Drift

            • 14 - The Art of Term Structure Model Volatility and Distribution

            • 15 - Volatility Smiles

            • 16 - FundamentalReview of theTrading Book

          • 2.信用風險

            • 1 - The credit decision

            • 2 - The credit analyst

            • 3 - Capital Structure in Banks

            • 4 - Rating assignment methodologies

            • 5 - Credit risk and credit derivatives

            • 6 - Spread risk and default intensity models

            • 7 - Portfolio credit risk

            • 8 - Counterparty risk and beyond

            • 9 - Netting, close-out and related aspects

            • 10 - Margin(Collateral) and Settlement

            • 11 - Future Value and Exposure

            • 12 - CVA

            • 13 - The evolution of stress-testing counterparty exposures

            • 14 - Credit scoring and retail credit risk management

            • 15 - Credit transfer markets and their implications

            • 16 - An introduction of securitization

            • 17 - Structured credit risk

            • 18 - Understanding the securitization of subprime mortgage credit

            • Introduction

          • 3.操作風險

            • Introduction

            • 1 - Introduction to Operational Risk and Resilience

            • 2 - Risk Governance

            • 3 - Risk Identification

            • 4 - Risk Identification

            • 5 - Risk Mitigation

            • 6 - Risk Reporting

            • 7 - Integrated Risk Management

            • 8 - Cyber-Resilience: Range of Practices

            • 9 - Case Study: Cyberthreats and Information Security Risks

            • 10 - Sound Management of Risks Related to Money Laundering and Financing of Terrorism

            • 11 - Case Study: Financial Crime and Fraud

            • 12 - Guidance on Managing Outsourcing Risk

            • 13 - Case Study: Third-Party Risk Management

            • 14 - Case Study: Investor Protection and Compliance Risks in Investment Activities

            • 15 - Supervisory Guidance on Model Risk Management

            • 16 - Case Study: Model Risk and Model Validation

            • 17 - Stress Testing Banks

            • 18 - Risk Capital Attribution and Risk-Adjusted Performance Measurement

            • 19 - Range of Practices and Issues in Economic Capital Frameworks

            • 20 - Capital Planning at Large Bank Holding Companies

            • 21 - Capital Regulation Before the Global Financial Crisis

            • 22 - Solvency, Liquidity and Other Regulation After the Global Financial Crisis

            • 23 - High-Level Summary of Basel Ⅲ Reforms

            • 24 - Basel Ⅲ:Finalising Post-Crisis Reforms

          • 4.流動性風險

            • introduction

            • 1 - Liquidity Risk

            • 2 - Liquidity and Leverage

            • 3 - Early Warning Indicators

            • 4 - The Investment Function in Financial-services Management

            • 5 - Liquidity and Reserves Management Strategies and Policies

            • 6 - Intraday Liquidity Risk Management

            • 7 - Monitoring Liquidity

            • 8 - The Failure Mechanics of Dealer Banks

            • 9 - liquidity Stress Testing

            • 10 - Liquidity Risk Reporting and Stress Testing

            • 11 - Contingency Funding Planning

            • 12 - Managing and Pricing Deposit Services

            • 13 - Managing Non-deposit Liabilities

            • 14 - Repurchase Agreements and Financing

            • 15 - Liquidity Transfer Pricing: A Guide to Better Practice

            • 16 - The US dollar Shortage in Global Banking and International Policy Response

            • 17 - Covered Interest Parity Lost: Understanding the Cross-Currency Basis

            • 18 - Risk Management for Changing Interest Rates: Asset-Liability Management and Duration Techniques

            • 19 - Illiquid Assets

          • 5.投資風險

            • 1 - Factor theory

            • 2 - Factors

            • 3 - Alpha (and the Low-Risk Anomaly)

            • 4 - Portfolio Construction

            • 5 - Portfolio Risk:Analytical Methods

            • 6 - VaR and Risk Budgeting in Investment Management

            • 7 - Risk Monitoring and Performance Measurement

            • 8 - Portfolio Performance Evaluation

            • 9 - Hedge Funds

            • 10 - Performing Due Diligence on Specific Managers and Funds

            • 11 - Predicting Fraud by Investment Managers

          • 6.金融時事分析

            • 0 - current issues

            • 1 - paper1

            • 2 - paper2

            • 3 - paper3

            • 4 - paper4

            • 5 - paper5

            • 6 - paper6

            • 7 - paper7

            • 8 - paper8

          串講強化班

          • 1.市場風險

            • 1 - Estimating Market Risk Measures

            • 2 - orrelation Basics

            • 3 - The Science of Term Structure Models

            • 4 - Volatility Smiles

          • 2.信用風險

            • 1 - Basics of Credit Risk

            • 2 - Credit Risk Measurements

            • 3 - Counterparty Risk and Mitigations

            • 4 - Credit Derivatives and Securitization

          • 3.流動性風險

            • 0 - introduction

            • 1 - part 1

            • 2 - part 2

            • 3 - part 3

            • 4 - part 4

          • 4.投資風險

            • 1 - Factor Theory

            • 2 - Factors

            • 3 - Alpha (and the Low-Risk Anomaly)

            • 4 - Portfolio Construction

            • 5 - Portfolio Risk:Analytical Methods

            • 6 - VaR and Risk Budgeting in Investment Management

            • 7 - Risk Monitoring and Performance Measurement

            • 8 - Portfolio Performance Evaluation

            • 9 - Hedge Funds

            • 10 - Performing Due Diligence on Specific Managers and Funds

            • 11 - Detecting Fraud by Investment Managers

          • 5.操作風險

            • 0 - topic0

            • 1 - topic1

            • 2 - topic2

            • 3 - topic3

            • 4 - topic4

            • 5 - topic5

            • 6 - topic6

            • 7 - Topic7

            • 8 - Topic8

            • 9 - Topic9

            • 10 - Topic10

            • 11- Topic11

            • 12 - Topic12

          沖刺私播班

          • 1.FRM二級 沖刺直播

            • 操作風險

            • 金融時事分析

            • 市場風險

            • 流動性風險

            • 投資風險

            • 信用風險

            • 全景模擬機考

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