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Market Risks

Von Edu Pristine


Practice for FRM-II Exam!

Market Risks for the Financial Risk Manager-II Exam
Market Risks is an important module with an emphasis of 25% of the FRM-II exam, which focuses on the risk of various management instruments used by investors both for trade or investment purposes.

The module will give a deep understanding of

  • Term Structure Models
  • Mortgage Backed Securities
  • parametric/non-parametric approaches to Value-at-Risk

This online course gives an entry into the FRM - Financial Risk Manager II and prepares for the following four modules.


  • Enthaltene Vorträge: 18
  • Laufzeit: 11:21 h
  • Enthaltene Lernmaterialien: 19

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Dozenten des Kurses Market Risks

 Edu Pristine

Edu Pristine

Trusted by Fortune 500 Companies and 10,000 Students from 40+ countries across the globe, EduPristine is one of the leading International Training providers for Finance Certifications like FRM®, CFA®, PRM®, Business Analytics, HR Analytics, Financial Modeling, Operational Risk Modeling etc. It was founded by industry professionals who have worked in the area of investment banking and private equity in organizations such as Goldman Sachs, Crisil - A Standard & Poors Company, Standard Chartered and Accenture.

EduPristine has conducted corporate training for various leading corporations and colleges like JP Morgan, Bank of America, Ernst & Young, Accenture, HSBC, IIM C, NUS Singapore etc. EduPristine has conducted more than 500,000 man-hours of quality training in finance.



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