• FRM Exam Part I: Comprehensive Study Guide for the Financial Risk Manager Exam

  • De: Philip Martin McCaulay
  • Narrado por: Virtual Voice
  • Duración: 4 h y 58 m

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FRM Exam Part I: Comprehensive Study Guide for the Financial Risk Manager Exam

De: Philip Martin McCaulay
Narrado por: Virtual Voice
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Resumen del Editor

Prepare for the Financial Risk Manager (FRM) Exam Part I with confidence using this comprehensive study guide. Designed to help you master the foundational concepts and quantitative techniques essential for risk management professionals, this guide covers all the key topics and knowledge areas outlined in the exam syllabus.

In the "Foundations of Risk Management" section, you'll explore key principles and practices. Topics include basic risk types, measurement, and management tools, as well as risk governance, corporate governance, and credit risk transfer mechanisms. You'll also study the Capital Asset Pricing Model (CAPM), risk-adjusted performance measurement, multifactor models, and ethical considerations outlined in the GARP Code of Conduct.

The "Quantitative Analysis" section focuses on essential quantitative techniques for risk assessment. Topics cover discrete and continuous probability distributions, statistical inference, hypothesis testing, and regression analysis. Additionally, you'll delve into time series analysis, forecasting, simulation methods, and machine learning to enhance analytical skills.

In "Financial Markets and Products," you'll examine financial institutions and markets, including over-the-counter (OTC) and exchange markets. Understanding mechanics and valuation of instruments like forwards, futures, swaps, and options is crucial. You'll also explore hedging strategies with derivatives, interest rates, foreign exchange risk, and various financial products such as corporate bonds and mortgage-backed securities.

The "Valuation and Risk Models" section covers advanced techniques for financial risk assessment and management. Topics include Value-at-Risk (VaR), Expected Shortfall (ES), volatility, correlation, and economic capital estimation. Additionally, you'll learn about stress testing, scenario analysis, option valuation, fixed-income valuation, and operational risk management for a comprehensive understanding of risk modeling and mitigation.

Prepare effectively for the FRM Exam Part I with this comprehensive study guide, covering all the essential topics and knowledge areas needed for success. Whether you're a seasoned risk management professional or a newcomer to the field, this guide will help you build a strong foundation and excel on exam day.

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