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Il y a 10 modules dans ce cours
Master FRM Level 1 concepts and build practical financial risk management skills used in banking, investment, and quantitative finance. Learn how to analyze risk, evaluate derivatives, interpret futures markets, and apply quantitative tools with confidence.
This course provides a structured and practical introduction to Financial Risk Management (FRM) concepts, helping learners understand the frameworks and analytical methods used by risk professionals in global financial institutions. You’ll begin by exploring the foundations of risk management, including Value at Risk (VaR), enterprise risk management, and the different types of financial risks such as credit, liquidity, operational, and strategic risk.
As the course progresses, you’ll build quantitative finance skills through probability, statistics, covariance, correlation, and financial distribution analysis. The course also introduces derivatives markets, including forwards, futures, and options, while explaining how these instruments are used for hedging, speculation, and arbitrage strategies.
Advanced modules focus on futures market mechanics, basis risk, interest rate analysis, bond pricing, yield curves, and forward market pricing. You’ll also learn advanced market concepts such as contango and backwardation and understand how these conditions influence futures pricing and trading strategies.
What makes this course unique is its clear, exam-focused approach that simplifies complex FRM Level 1 topics while connecting theory to real-world financial market applications. By the end of the course, you’ll be able to confidently interpret financial risks, apply quantitative analysis tools, and evaluate derivatives and market conditions relevant to modern risk management and finance careers.
Understand core risk concepts, measurement techniques, and structured risk management processes used in financial institutions.
Inclus
9 vidéos4 devoirs
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9 vidéos•Total 82 minutes
Introduction to Foundations of Risk Management•6 minutes
What is Risk•8 minutes
Tools and Procedure to Measure•10 minutes
Marginal Distribution on Deviation•9 minutes
Objective of Risk Management•9 minutes
Risk Management Helicopter View•10 minutes
Describe Risk Management Process•7 minutes
Identify Problems of RM Process•13 minutes
Identify Problems of RM Process Continues•10 minutes
4 devoirs•Total 60 minutes
Foundations of Risk Management•30 minutes
Understanding Risk and Measurement Basics•10 minutes
Statistical Foundations of Risk•10 minutes
Risk Management Process Deep Dive•10 minutes
Measuring Risk and Enterprise Risk Management
Module 2•2 heures à terminer
Détails du module
Learn quantitative risk tools like VaR and explore enterprise-wide risk management frameworks.
Inclus
9 vidéos4 devoirs
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9 vidéos•Total 73 minutes
Quantitative Measures VaR•10 minutes
Illustration of VaR•13 minutes
Stress Testing•6 minutes
Enterprise Risk Management•10 minutes
Unexpected Losses•7 minutes
Risk Reward Trade off•8 minutes
Risk Reward Trade off Continues•7 minutes
Government Bond and Corporate Bond Yield•5 minutes
Examining Risk and Reward Relationship•7 minutes
4 devoirs•Total 60 minutes
Measuring Risk and Enterprise Risk Management•30 minutes
Quantitative Risk Measures•10 minutes
Enterprise Risk Perspective•10 minutes
Risk vs Return in Financial Markets•10 minutes
Types and Classes of Risk
Module 3•2 heures à terminer
Détails du module
Analyze types of risks including credit, bankruptcy, and settlement risks with mitigation strategies.
Inclus
9 vidéos4 devoirs
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9 vidéos•Total 69 minutes
Classes of Risk•12 minutes
Classes of Risk Continues•11 minutes
Credit Risk•10 minutes
Bankruptcy Risk•7 minutes
Downgrade Risk•8 minutes
Downgrade Risk Continues•5 minutes
Settlement Risk•7 minutes
Steps to Mitigate Credit Risk•2 minutes
Diversification•6 minutes
4 devoirs•Total 60 minutes
Types and Classes of Risk•30 minutes
Classification of Risks•10 minutes
Credit Risk and Its Dimensions•10 minutes
Managing Credit and Settlement Risks•10 minutes
Operational, Liquidity, and Strategic Risks
Module 4•2 heures à terminer
Détails du module
Evaluate operational failures, liquidity challenges, and strategic risks affecting business performance.
Inclus
9 vidéos4 devoirs
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Operational, Liquidity, and Strategic Risks•30 minutes
Liquidity and Operational Risk Overview•10 minutes
Reputational and Strategic Risk Insights•10 minutes
Risk Review and Strategic Risks•10 minutes
Probability and Quantitative Foundations
Module 5•2 heures à terminer
Détails du module
Apply probability concepts and statistical tools for financial risk analysis and decision-making.
Inclus
9 vidéos4 devoirs
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9 vidéos•Total 45 minutes
Discrete Probability•5 minutes
Independent Events•5 minutes
Example•4 minutes
Summary•3 minutes
Introduction to Quantitative Analysis•3 minutes
Mean•12 minutes
Geometric Mean Example•2 minutes
Expected Value•3 minutes
Expected Value Properties•8 minutes
4 devoirs•Total 60 minutes
Probability and Quantitative Foundations•30 minutes
Basics of Probability Theory•10 minutes
Probability Applications and Summary•10 minutes
Advanced Statistical Measures•10 minutes
Statistical Relationships and Moments
Module 6•2 heures à terminer
Détails du module
Understand covariance, correlation, and higher moments for analyzing financial data distributions.
Inclus
9 vidéos4 devoirs
Afficher les informations sur le contenu du module
9 vidéos•Total 71 minutes
Covariance Explained•5 minutes
Correlation•9 minutes
Moments and Central Moments•4 minutes
Kurtosis Coskewness and Cokurtosis•8 minutes
Introduction to Financial Markets and Products•11 minutes
Derivative Markets•7 minutes
Forward Contract•9 minutes
Futures and Options•11 minutes
Futures and Options Continues•6 minutes
4 devoirs•Total 60 minutes
Statistical Relationships and Moments•30 minutes
Covariance and Correlation•10 minutes
Higher-Order Statistical Concepts•10 minutes
Introduction to Derivatives•10 minutes
Derivatives and Risk Management Strategies
Module 7•2 heures à terminer
Détails du module
Explore forwards, futures, options, and their applications in hedging, speculation, and arbitrage.
Inclus
9 vidéos4 devoirs
Afficher les informations sur le contenu du module
9 vidéos•Total 52 minutes
Payoff From Option and Forward•5 minutes
Hedging•3 minutes
Hedging Using Forwards•8 minutes
Hedging Using Options•5 minutes
Speculation•9 minutes
Arbitrage•2 minutes
Futures market•7 minutes
Margin•6 minutes
Understanding Clearinghouse•7 minutes
4 devoirs•Total 60 minutes
Derivatives and Risk Management Strategies•30 minutes
Payoffs and Hedging Concepts•10 minutes
Options and Market Strategies•10 minutes
Futures Market Mechanics•10 minutes
Futures, Hedging, and Market Risks
Module 8•2 heures à terminer
Détails du module
Learn advanced hedging techniques, basis risk, and futures market mechanics.
Inclus
9 vidéos4 devoirs
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9 vidéos•Total 60 minutes
Regulatory Framework•6 minutes
Hedging Strategies Using Futures•8 minutes
Basis Risk•6 minutes
Sources of Basis Risk•8 minutes
Hedging with Stocks Index Futures•4 minutes
Tailing the Hedge•7 minutes
Rolling Hedge Forward•5 minutes
Working on Example•8 minutes
Interest Rates•8 minutes
4 devoirs•Total 60 minutes
Futures, Hedging, and Market Risks•30 minutes
Regulatory and Hedging Frameworks•10 minutes
Managing Basis Risk•10 minutes
Advanced Hedging Techniques•10 minutes
Interest Rate Fundamentals and Term Structure
Module 9•2 heures à terminer
Détails du module
Analyze interest rates, yield curves, duration, and bond pricing concepts.
Inclus
9 vidéos4 devoirs
Afficher les informations sur le contenu du module
9 vidéos•Total 60 minutes
Compunding•6 minutes
Compunding Continues•4 minutes
Spot Rates•7 minutes
Bootstrapping•6 minutes
Forward Rate•9 minutes
Duration•11 minutes
Concept of Duration•7 minutes
Modified Duration and Convexity•6 minutes
Theories of Term Structure•5 minutes
4 devoirs•Total 60 minutes
Interest Rate Fundamentals and Term Structure•30 minutes
Interest Rate Basics•10 minutes
Yield Curve and Forward Rates•10 minutes
Duration and Term Structure Theories•10 minutes
Asset Pricing and Forward Markets
Module 10•3 heures à terminer
Détails du module
Understand forward pricing, asset valuation, and advanced market concepts like contango and backwardation.
Inclus
10 vidéos4 devoirs
Afficher les informations sur le contenu du module
10 vidéos•Total 70 minutes
Investment and Consumption Assets•6 minutes
Forward Price for an Investment Asset•12 minutes
Valuing forward Contracts•3 minutes
Forward Pricing and Known Income•11 minutes
Short Selling•7 minutes
Currency and Commodity Futures•10 minutes
Currency and Commodity Features•6 minutes
Delivery Options•7 minutes
Contango and Backwardation•3 minutes
Example of Investment Assets•5 minutes
4 devoirs•Total 60 minutes
Asset Pricing and Forward Markets•30 minutes
Investment Assets and Pricing•10 minutes
Futures and Market Practices•10 minutes
Advanced Market Concepts•10 minutes
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