Risk Center 2008 Eğitim Programları

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 Programları

 

The Professional Risk Manager Program (PRM) tarafından 140 ülkede toplam 4,000 sınav merkezinde bilgisayar ortamında düzenlenen sınavlarda başarılı olan adaylar The Professional Risk Managers’ International Association (PRMIA) tarafından risk dalında uzmanlıklarını belgeleyen sertifikaları düzelenmektedir.

 

İki yıllık süre içerisinde dört konu başlıgında düzenlenen sınavda başarılı olunması gerekmektedir.Sınav ücreti bir defalık sınav için 195 USD ödenmesi gerekmekte. Bütün PRM sınavına katılım içinde 500 USD ödenmesi gerekmekte. Sınav toplam 120 sorudan oluşmakta ve bilgisayar rastgele soruları seçmektedir.Türkiye’de 10dan fazla merkezde PRM sınavı alınabilmekte. Sınav Yapısı:

-Exam I: Finance Theory, Financial Instruments and Markets (120 minutes)
-Exam II: Mathematical Foundations of Risk Measurement (120 minutes)
-Exam III: Risk Management Practices (90 minutes)
-Exam IV: Case Studies, PRMIA Standards of Best Practice, Conduct and Ethics, Bylaws (60 minutes)

Aşağıda belirtilen lisansa sahip kişiler PRM sınavının bazı bölümünden muhaf tutulabilmektedir.

CFA Charter: Exams III ve IV
CIIA, CEFA Charter: Exams III ve IV
CQF: Exams III ve IV
Actuarial Associates: Exams I, III ve IV
CSI Financial Risk Management Graduates: Exams II, III ve IV
CAIA Financial Risk Management Graduates: Exams II,III ve IV

 

PRM Professional Risk Manager Certification
 
Exam Structure:
Exam I: Finance Theory, Financial Instruments and Markets (120 minutes)
Exam II: Mathematical Foundations of Risk Measurement (120 minutes)
Exam III: Risk Management Practices (90 minutes)
Exam IV: Case Studies, PRMIA Standards of Best Practice, Conduct and Ethics, (60mın)
 
Exam 1: FINANCE THEORY,FINANCIAL INSTRUMENTS
AND MARKETS
 
1. Risk and Risk Aversion
2. Portfolio Mathematics
3. Capital Allocation
4. The CAPM and Multifactor Models
5. Basics of Capital Structure
6. The Term Structure of Interest Rates
7. Valuing Futures and Forwards
8. Principles of Option pricing
9. Bonds
10.Floating Rate Notes
11.Futures and Forwards
12.Swaps
13.Options
14.Credit Derivatives
15.Caps, Floors, Swaptions
16.Capital Markets
17.Money Market
18.Bond Markets
19.FX Market
20.Stock Markets
21.Futures Market
22.Commodities Markets
23. Power Markets
 
Exam 2: MATHEMATICAL FOUNDATIONS OF
RISK MEASUREMENT
1. Foundations
2. Descriptive Statistics
3. Calculus
4. Linear Mathematics and Matrix Algebra
5. Probability Theory
6. Regression
7. Numerical Methods
 
Exam 3: RISK MANAGEMENT PRACTICES
1. Duration and Convexity
2. Cash Flow Maps and PVBP Interest Rate Sensitivity
3. Greeks of Instruments and Portfolios
4. Implied Volatility and Smile, Smirk
5. Value-at-Risk (VaR)
6. Calculation of VaR for Linear Portfolios
7. Monte Carlo and Historical Calculation of VAR
8. Market Risk Limits (stop-loss, exposure, VAR
9. Alternative Risk Measures
10. Market Risk- RAROC & Economic Capital Allocation
11. Operational Risk
12. Overview of Credit Risk
13. Actuarial Methods
14. Exposure, Loss Given Default (LGD) and Expected Losses
15. Rating Agencies and their Grades
16. Settlement Risk and Netting Systems
17. Marginal, Cumulative Default Risk
18. Transition Matrix, Joint Transition Matrix and
Correlated Migrations
19. Recovery Rate Distributions
20. Merton and KMV Models
21. Credit Risk- RAROC & Economic
Capital Allocation
 
Exam 4: CASE STUDIES,
PRMIA STANDARDS OF BEST PRACTICE
 
1. Barings
2. Metallgesellschaft
3. LTCM
4. World Com
5. Credit Lyonnais
6. Bankers Trust
7. Daiwa Bank
8. Continental Illinois
9. Orange County
10. US Savings & Loan Crisis
11. Bankgesellscaft Berlin
12. California Power Crisis
13. Riggs Bank
14. National Australia Bank
15. Group of 30 Study
16. PRMIA Standards of Best Practice, Conduct and Ethics
17. PRMIA Bylaws
 

PRIMIA ile işbirliği yapan ve bu alanda hazırlık programları düzenleyen üniversite ve eğitim merkezlerinden bazı örnekler aşagıda:

  • Bahrain: Bahrain Institute of Banking and Finance
  • DVD Lectures: University of Reading - ICMA Centre
  • London: University of Reading - ICMA Centre
  • Munich: Technical University of Munich HVB Institute for Mathematical Finance
  • New York: University of Reading - ICMA Centre
  • Paris: ESCP- EAP and a consortium of faculty from Paris' Top Universities
  • Singapore: NUS Risk Management Institute
  • Toronto: University of Toronto Risk Lab
  • 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
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