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所在平台: Udemy |
课程主页: https://www.udemy.com/course/financial-risk-manager-frm-part-1-practice-test/
课程评论:没有评论
**Coursera 课程总结:金融风险经理 (FRM) Part 1 模拟考试** 本课程是为准备参加金融风险经理 (FRM) Part 1 考试的学习者设计的。FRM 是由全球风险专业人士协会 (GARP) 认可的专业认证,自 1997 年设立以来,已有超过 70,000 名持证人。FRM 被认为是金融风险管理领域的领先专业认证,广泛应用于银行、保险公司、资产管理公司和监管机构。 要获得 FRM 认证,考生需要通过两部分考试,并累积两年金融风险管理相关工作经验。FRM 认证证明个人具备最新的金融风险管理知识、技能和经验,有助于提升职业前景和收入水平。 FRM 考试分为两部分,均为机考,每部分时长 4 小时。Part 1 包含 100 道选择题,Part 2 包含 80 道选择题。根据英国 UK ENIC 的基准测试,FRM 考试的难度相当于硕士学位水平。 **FRM Part 1 考试主题权重:** * **风险管理基础 (Foundations of Risk Management):** 20% * **定量分析 (Quantitative Analysis):** 20% * **金融市场与产品 (Financial Markets and Products):** 30% * **估值与风险模型 (Valuation and Risk Models):** 30% **本课程特色:** * **根据 2023 年最新 FRM Part 1 考试大纲编写。** * **提供 1000 道单项选择题 (MCQs),并附有详细解释。** * **通过问答区或消息提供 24/7 全天候讲师支持。** * **提供 30 天退款保证。**
What is a Financial Risk Manager (FRM)?FRM stands for Financial Risk Manager, which is a professional certification accredited by the Global Association of Risk Professionals (GARP). Since the inception of FRM program in 1997, more than 70,000 certified Financial Risk Managers have successfully obtained the designation.The FRM qualification is considered to be the leading professional certification in the financial risk management area, including banks, insurance companies, asset management companies, and regulatory agencies. To achieve FRM certification, candidates are required to pass a two-part exam and complete two years of work experience in financial risk management.Earning the FRM certification means an individual has demonstrated that they possess the knowledge, skills and experience that meet the up-to-date standards in financial risk management. FRM holders are expected to boost their job prospects with increased income. The FRM exam is a two-part computer-based examination, and each part lasts 4 hours with multiple choice questions (100 questions in Part 1, 80 questions in Part 2). Its difficulty is equivalent to a Master's degree, according to benchmarking done by UK ENIC (European Network of Information Centre of the United Kingdom).Weights of FRM Part 1 Topics20% Foundations of Risk Management (FRM)20% Quantitative Analysis (QA)30% Financial Markets and Products (FMP)30% Valuation and Risk Models (VRM)Features of this course:According to the latest syllabus of FRM Part 1 in 20231000 MCQs with detailed explanations24/7 Instructor support through Q & A section or messages 30-day money back guarantee