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              融躍教育

              FRM獎學金班(一級)

              價格: 8980.00

              課程簡介: 該課程由融躍教育FRM研究院擁有多年工作經驗與教學經驗的精英講師親自授課,緊貼FRM考試新大綱,通過直播師生互動、錄播回放鞏固復習等多元化的教學方式,輔以在線學習平臺,突破傳統教學的限制。享受專屬班主任督學、定制學習計劃、不限次數答疑、社群學習等模式,讓學員在學到知識的同時,快速通過考試。

              視頻有效期:12個月

              視頻時長:約187小時

              詳情介紹

              課程大綱

              {in name="user_id" value="21644"} {/ in}

              課程問答

              課程評價

              課程試聽 推薦

              • FRM沖刺私播密訓營(一級)
              • FRM快速通關APS智播課(一級)

              FRM一級

              • 1.沖刺直播

                • 數量分析

                • 風險管理基礎

                • 估值與風險模型

                • 金融市場產品

                • 模擬機考

              前導入門班

              • 1.金融英語

                • 1 - FRM與英語

                • 2 - Grammar

                • 3 - Financial Risk

                • 4 - Financial Institute

                • 5 - Financial Products

              • 2.金融計算器

                • 前言

                • 計算器版本介紹

                • 計算器初覽

                • 小數點位設置

                • 運算優先級模式設置

                • 期初期末模式設置

                • 存儲調用操作

                • 常用清除鍵操作

                • 指數運算

                • 對數、階乘、排列組合運算

                • 泊松分布、二項分布運算

                • 債券價格計算與日期函數運算

                • 貨幣的時間價值運算

                • 貨幣時間價值運算實務操作

                • 貨幣時間價值運算不適用的情況

                • 統計功能操作

              • 3.金融市場產品

                • 常見的金融機構

                • 利率和債券

                • 衍生品

              • 4.債權類產品基礎

                • 債券

              • 5.銀行經營模式

                • 銀行組織架構

                • 銀行經營模式

                • 銀行財報

              • 6.金融數學

                • 金融數學

              • 7.2023年考綱解讀

                • 考綱解讀

              基礎精講班

              • 1.風險管理基礎

                • 前言

                • 1 - The Building Blocks of Risk Management

                • 2 - How Do Firms Manage Financial Risk?

                • 3 - The Governance of Risk Management

                • 4 - Credit Risk Transfer Mechanisms

                • 5 - Modern Portfolio Theory and Capital Asset Pricing Model

                • 6 - The APT and Multifactor Models of Risk and Return

                • 7 - Principles for Effective Data Aggregation and Risk Reporting

                • 8 - Enterprise Risk Management and Future Trends

                • 9 - Learning from Financial Disasters

                • 10 - Anatomy of the Great Financial Crisis of 2007-2009

                • 11 - GARP Code of Conduct

              • 2.數量分析

                • Briefing

                • 1 - Fundamentals of probability

                • 2 - Random variables

                • 3 - Common Univariate Random Variables

                • 4 - Multivariate Random Variables

                • 5 - Sample moments

                • 6 - Hypothesis Testing

                • 7 - Linear Regression

                • 8 - Regression with Multiple Explanatory Variables

                • 9 - Regression Diagnosis

                • 10 - Stationary Time Series

                • 11 - Non-Stationary Time Series

                • 12 - Measuring Returns, Volatility, and Correlation

                • 13 - Simulation and Bootstrapping

                • 14 - Machine-Learning Methods

                • 15 - Machine Learning and Prediction

              • 3.金融市場產品

                • 1 - Banks

                • 2 - Insurance Companies and Pension Plans

                • 3 - Funds Management

                • 4 - Exchanges and OTC Markets

                • 5 - Central clearing

                • 6 - Interest Rates and Bonds

                • 7 - Corporate Bonds

                • 8 - Introduction to Derivatives

                • 9 - Futures Markets

                • 10 - Pricing Financial Forward and Futures

                • 11 - Foreign Exchange Markets

                • 12 - FRA and Interest Rate Futures

                • 13 - Using Futures for Hedging

                • 14 - Swaps

                • 15 - Options Markets

                • 16 - Properties of Options

                • 17 - Trading Strategies

                • 18 - Exotic Options

                • 19 - Mortgages and Mortgage-Backed Securities

              • 4.估值與風險模型

                • 科目介紹

                • 1 - Measures of Financial Risk

                • 2 - Calculating and Applying VaR

                • 3 - Measuring and Monitoring Volatility

                • 4 - External and Internal Ratings

                • 5 - Country Risk: Determinants, Measures, and Implications

                • 6 - Measuring Credit Risk

                • 7 - Operational Risk

                • 8 - Stress Testing

                • 9 - Pricing Conventions, Discounting, and Arbitrage

                • 10 - Interest Rates

                • 11 - Bond Yields and Return Calculations

                • 12 - Applying Duration, Convexity, and DV01

                • 13 - Modeling Non-Parallel Term Structure Shifts and Hedging

                • 14 - Binomial Trees

                • 15 - The Black-Scholes-Merton Model

                • 16 - Option Sensitivity Measures: The “Greeks”

              串講強化班

              • 1.風險管理基礎

                • 1 - Risk Management and Corporate Government

                • 2 - Modern Portfolio Theory

                • 3 - Learning From Financial Disasters

                • 4 - The Anatomy of Subprime Crisis

              • 2.數量分析

                • Quantitative Analysis

              • 3.金融市場產品

                • 1 - Financial Institutions and CCP

                • 2 - Interest Rates and Bonds basics

                • 3 - Forwards and Futures

                • 4 - Swaps

                • 5 - Options Markets

                • 6 - Mortgage-Backed Securities

              • 4.估值與風險模型

                • 1 - Market Risk

                • 2 - Credit Risk

                • 3 - Operational Risk

                • 4 - Bonds

                • 5 - Options

              沖刺私播班

              • 1.FRM一級 沖刺直播

                • 風險管理基礎

                • 數量分析

                • 估值與風險模型

                • 金融市場產品

                • 全景模擬機考

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