Risk Center 2008 Eðitim Programlarý

Sertifika Programları

Kurum-İçi Sertifika Sınav Hazırlık Programları

 -   FRM, Financial Risk Manager-FRM®, GARP
 -   FRM, Study & Approach Training Module
 -   PRM, Professional Risk Manager PRM®, PRIMIA
 -   CFA, Chartered Financial Analyst CFA®
 -   ACOR, Advanced Certificate in Operational Risk
 -   PMP (Project Management Professional) Sertifikası
 -   Gayrimenkul DeÄŸerleme Uzmanlığı Sertifikası
 -   Konut DeÄŸerleme Uzmanlığı Sertifikası

 

Enerji Lisans Sınavlarına Hazırlık Programı

 -   CEM, Certified Energy Management
 -   CEA, Certified Energy Audit
 -   Business Energy Professional
 -   CEP, The Certified Energy Procurement Professional Prg.
 -   DGCP, The Distributed Generation Certified Professional Prg.

Online Sertifika Sınav Hazırlık Programları

- CFA 7CITY Eğitim Modeli PDF  
- PRM 7CITY Eğitim Modeli PDF  
- ACOR 7CITY Eğitim Modeli DOC  
- ePRM coach Kesdee Eğitim Modeli PDF  
- eFRM coach Kesdee Eğitim Modeli PDF  
- eCFA coach Kesdee Eğitim Modeli

2008 Mart

Sertifika Programlarý

 

The Financial Risk Manager (FRM) exam leads to the Financial Risk Manager

Program Adý:
The Financial Risk Manager (FRM) exam leads to the Financial Risk Manager
Program Dili:
Ýngilizce
Program Süresi:
n/a

Eðitmen:


Certification - a prestigious designation granted by Global Association of
Risk Professionals (GARP) since 1997. GARP certifies Risk professionals,
Practitioners & Regulators as eligible for independent risk management analysis
and decision making for the benefit of the company and its investors.


About the Exam
The FRM Examination is a 5-hour, approximately 140 question multiple-choice examination. The examination is split into two sections in which each is 2.5 hours in length. The exam is given in booklet form.
The exam tests a practitioner’s knowledge in:
1. Quantitative Analysis
2. Market Risk Measurement and Management
3. Credit Risk Measurement and Management
4. Operational, Integrated Risk & Legal, Accounting & Ethics
5. Risk Management and Investment Management
Questions are not presented by Category, e.g. Market Risk, Credit Risk. An FRM
Candidate is expected to be able to address risk-related issues in a
comprehensive way. Questions will be presented as if the candidate was having
to address and formulate a response to an issue in a real-world environment.

 

FRM PROGRAM OUTLINE
 
Quantitative Analysis
1 Time Value of Money
2 Logarithms & Exponents
3 Probability Distribution
4 Fundamentals of Statistics I
5 Fundamentals of Statistics II
6 Forecasting correlation & Volatility
7 Extreme Value Theory - Basic Principles
8 Monte Carlo Methods
 
Market Risk Measurement and Management
9 Bond Markets
10 Bond Pricing
11 Bond Price Volatility
12 Yield Measures
13 Yield Curve Analysis
14 Introduction to Derivatives
15 Options-I
16 Options-II
17 Fixed-Income Derivatives
18 Equity Markets
19 Equity Derivatives
20 Equity Risk
21 Currency Risk and Currency Markets
22 Commodity Risk and Commodity Derivatives
23 Fixed Income Risk
24 Emerging Market Risk
25 Identification of Risk Factors
26 Introduction to Market Risk Management
27 VaR Methods
28 Stress Testing
29 Modeling Risk Factors
30 Risk Budgeting
31 Hedging Linear Risk
32 Non-linear Risk-Options
33 Measuring and Managing Corporate Exposures
 
Credit Risk Measurement and Management
34 Introduction to Credit Risk
35 Default Risk
36 Counterparty Risks
37 Credit Ratings and Migration
38 Netting
39 Margin and Collateral Requirements
40 Portfolio Credit Risk
41 Credit Derivatives
42 Conceptual Approaches to Credit Risk Modeling
43 Actuarial approach and CreditRisk+
44 Contingent claim approach and the KMV Model
45 Credit migration, transition matrices and CreditMetrics
46 McKinsey CreditPortfolioView
47 Special purpose vehicles
 
Operational & Integrated Risk Management,
Legal, Accounting and Ethics
48 Operational Risk
49 Integrated Risk Management
50 Risk Capital
51 Legal Risk
52 Model Risk
53 Basel Market Risk Amendment
54 Securitization and SPVs
55 Basel New Capital Accord- An Overview
56 Internal Ratings Based Approach
 
Risk Management and Investment Management
 
57 Traditional Investment Risk Management
58 Risk Budgeting and Setting Risk Limits
59 Risk Management Issues of Pension Funds
60 Hedge Fund Risk Management - 1
61 Hedge Fund Risk Management - 2
 
Mock exam and exam review

 

Adres: Kore Şehitleri Cad. Yonca Apt. A-Blok No:1/12 Zincirlikuyu-İstanbul-34394 Mail: info@riskcenter.com.tr Tel: 212-217 33 68 Fax: 212-217 33 70
Aeecenter 7city Silverbrook Türk Kredi Rating Kesdee Risknews