融跃教育

2020年FRM一级经典套餐

价格: 1048.00

课程简介: FRM一级经典套餐适用于,零基础,想要快速通关,备考FRM的人群。本课程以核心师资主讲,根据2020年最新考纲全新定制,利用高效的阶梯式教学模式,以及完整的阶段性课程教培服务体系,满足不同需求的考生,让备考更轻松助力一次通关。

视频有效期:12个月

视频时长:259学时

视频数量:358个

详情介绍

课程大纲

课程问答

课程评价

课程试听 推荐

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  • 2020年FRM一级经典套餐

FRM 财务计算器使用视频教程

  • 1.Introduction of Financial Calculator

    • 1.Introduction of Financial Ca.mp4

  • 2.Setting Up the Calculator

    • 2.Setting Up the Calculator.mp4

  • 3.Interest Rate

    • 3.Interest Rate.mp4

  • 4.Time Value of Money

    • 4.Time Value of Money.mp4

  • 5.Statistics and Combination

    • 5.Statistics and Combination.mp4

前导课

  • 金融基础知识(已更完)

    • 1 - Time Value of Money

    • 2 - Interest Rate

    • 3 - Cashflows

  • 计算器介绍(已更完)

    • 1 - overview of caclulator operations

    • 2 - TMV and Amortization Worksheets

    • 3 - cash flow worksheet

    • 4 - bond worksheet

    • 5 - depreciation worksheet

    • 6 - statistics worksheet

    • 7 - other worksheet

  • 现金流计算及计算器应用(已更完)

    • 1- NPV and IRR

    • 2- HPR and TWR and MWR

  • 概率论和统计学基础(已更完)

    • 1 - Probability

    • 1 - Probability(2)

    • 2 - Variance

    • 3 - Statistics

    • 4 - Common Distributions

    • 5 - Sampling and Estimation(1)

    • 5 - Sampling and Estimation(2)

    • 6 - Hypothesis Testing

  • 宏观经济学基础(已更完)

    • 1 - Introduction

    • 2 - Monetary and Fiscal Policy

    • 3 - International Trade

  • 财务报表分析入门(已更完,FRM学员可跳过)

    • 财务报表分析-1

    • 财务报表分析-2

    • 财务报表分析-3

    • 财务报表分析-4

    • 财务报表分析-5

  • 金融市场简介(已更完)

    • 7-1-Financial Markets

    • 7-2-Financial Intermediaries

  • 权益类投资基础(已更完)

    • 1 - Introduction to Capital Stock

    • 2 - Introduction to Equity Markets

    • 3 - Basic Valuation of Equity

  • 固定收益类投资基础(已更完)

    • 1 - Introduction to Bonds

    • 2 - Provisions of Bonds

    • 3 - Basic Valuation of Bonds

    • 4 - Interest Risk of Bonds

  • 金融衍生品基础(已更完)

    • 1 - Introduction to Derivatives Market

    • 2 - Introduction to Forwards

    • 3-Introduction to Futures

    • 4-Introduction to Options

    • 5-Introduction to Swaps

知识精讲(已更完)

  • 试听课

    • 25 - Banks

  • 风险管理基础 - Xenos(已更完)

    • 1 - The Building Blocks of Risk Management(1)

    • 1 - The Building Blocks of Risk Management(2)

    • 1 - The Building Blocks of Risk Management(3)

    • 1 - The Building Blocks of Risk Management(4)

    • 2 - How Do Firms Manage Financial Risk(1)

    • 2 - How Do Firms Manage Financial Risk(2)

    • 2 - How Do Firms Manage Financial Risk(3)

    • 3 - Coporate Governance and Risk Management

    • 4 - Credit Risk Transfer Mechanisms(1)

    • 4 - Credit Risk Transfer Mechanisms(2)

    • 5 - The Standard Captial Asset Pricing Model (1)

    • 5 - The Standard Captial Asset Pricing Model (2)

    • 5 - The Standard Captial Asset Pricing Model (3)

    • 5 - The Standard Captial Asset Pricing Model (4)

    • 5 - The Standard Captial Asset Pricing Model (5)

    • 5 - The Standard Captial Asset Pricing Model (6)

    • 6 - Arbitrage Pricing Theory and Multifactor Models of Risk and Return

    • 7 - Principles For Effective Risk Data Aggregation And Risk Reporting

    • 8 - Enterprise Risk Management and Future Trends

    • 9 - Learning From Financial Disasters(1)

    • 9 - Learning From Financial Disasters(2)

    • 9 - Learning From Financial Disasters(3)

    • 9 - Learning From Financial Disasters(4)

    • 9 - Learning From Financial Disasters(5)

    • 10 - Anatomy of the Great Financial Crisis of 2007-2009(1)

    • 10 - Anatomy of the Great Financial Crisis of 2007-2009(2)

    • 10 - Anatomy of the Great Financial Crisis of 2007-2009(3)

    • 11 - GARP Code of Conduct

  • 风险管理基础 - Jack(已更完)

    • 1 - The Building Blocks of Risk Management(1)

    • 1 - The Building Blocks of Risk Management(2)

    • 1 - The Building Blocks of Risk Management(3)

    • 2 - How Do Firms Manage Financial Risk(1)

    • 2 - How Do Firms Manage Financial Risk(2)

    • 3 - The Governance of Risk Management(1)

    • 3 - The Governance of Risk Management(2)

    • 4 - Credit Risk Transfer Mechanisms(1)

    • 4 - Credit Risk Transfer Mechanisms(2)

    • 4 - Credit Risk Transfer Mechanisms(3)

    • 5 - Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM)(1)

    • 5 - Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM)(2)

    • 5 - Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM)(3)

    • 5 - Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM)(4)

    • 5 - Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM)(5)

    • 5 - Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM)(6)

    • 5 - Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM)(7)

    • 6 - The Arbitrage Pricing Theory and Multifactor Models of Risk and Return

    • 7 - Principles for Effective Data Aggregation and Risk Reporting

    • 8 - Enterprise Risk Management and Future Trends(1)

    • 8 - Enterprise Risk Management and Future Trends(2)

    • 9 - Learning From Financial Disasters(1)

    • 9 - Learning From Financial Disasters(2)

    • 9 - Learning From Financial Disasters(3)

    • 9 - Learning From Financial Disasters(4)

    • 9 - Learning From Financial Disasters(5)

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

    • 11 - GARP Code of Conduct

  • 数量分析(已更完)

    • 12 - Fundamentals of Probability(1)

    • 12 - Fundamentals of Probability(2)

    • 13 - Random Variables(1)

    • 13 - Random Variables(2)

    • 13 - Random Variables(3)

    • 13 - Random Variables(4)

    • 14 - Common Univariate Random Variables(1)

    • 14 - Common Univariate Random Variables(2)

    • 15 - Multivariate Random Variables

    • 16 - Sample moments

    • 17 - Hypothesis Testing(1)

    • 17 - Hypothesis Testing(2)

    • 17 - Hypothesis Testing(3)

    • 18 - Linear Regression(1)

    • 18 - Linear Regression(2)

    • 18 - Linear Regression(3)

    • 19 - Regression with Multiple Explanatory Variables(1)

    • 19 - Regression with Multiple Explanatory Variables(2)

    • 20 - Regression Diagnosis

    • 21 - Stationary Time Series(1)

    • 21 - Stationary Time Series(2)

    • 22 - Non-Stationary Time Series

    • 23 - Measuring Returns, Volatility and Correlation

    • 24 - Simulation and Bootstrapping(1)

    • 24 - Simulation and Bootstrapping(2)

  • 金融市场产品 - Linda(已更完)

    • 25 - Banks

    • 26 - Insurance Companies and Pension Plans

    • 27 - Fund Management

    • 28 - Introduction to Derivatives(1)

    • 28 - Introduction to Derivatives(2)

    • 28 - Introduction to Derivatives(3)

    • 29 - Exchanges and OTC Markets

    • 30 - Central Clearing

    • 31 - Futures Markets(1)

    • 31 - Futures Markets(2)

    • 32 - Using Futures For Hedging(1)

    • 32 - Using Futures For Hedging(2)

    • 33 - Foreign Exchange Markets

    • 34 - Pricing Financial Forwards and Futures(1)

    • 34 - Pricing Financial Forwards and Futures(2)

    • 35 - Commodity Forwards and Futures

    • 36 - Options Markets

    • 37 - Properties of Options(1)

    • 37 - Properties of Options(2)

    • 38 - Trading Strategies(1)

    • 38 - Trading Strategies(2)

    • 38 - Trading Strategies(3)

    • 39 - Exotic Options(1)

    • 39 - Exotic Options(2)

    • 39 - Exotic Options(3)

    • 40 - Properties of Interest Rates(1)

    • 40 - Properties of Interest Rates(2)

    • 40 - Properties of Interest Rates(3)

    • 41 - Corporate Bonds(1)

    • 41 - Corporate Bonds(2)

    • 42 - Mortgages and Mortgage-Backed Securities(1)

    • 42 - Mortgages and Mortgage-Backed Securities(2)

    • 42 - Mortgages and Mortgage-Backed Securities(3)

    • 43 - Interest Rate Futures(1)

    • 43 - Interest Rate Futures(2)

    • 44 - Swaps(1)

    • 44 - Swaps(2)

  • 金融市场产品 - Lynn(已更完)

    • 25 - Bank(1)

    • 25 - Bank(2)

    • 26 - Insurance Companies and Pension Plans(1)

    • 26 - Insurance Companies and Pension Plans(2)

    • 27 - Funds Management(1)

    • 27 - Funds Management(2)

    • 28 - Exchanges and OTC Markets(1)

    • 28 - Exchanges and OTC Markets(2)

    • 29 - Central clearing(1)

    • 29 - Central clearing(2)

    • 30 - Interest Rates and Bond Basics(1)

    • 30 - Interest Rates and Bond Basics(2)

    • 30 - Interest Rates and Bond Basics(3)

    • 30 - Interest Rates and Bond Basics(4)

    • 30 - Interest Rates and Bond Basics(5)

    • 30 - Interest Rates and Bond Basics(6)

    • 31 - Corporate Bond(1)

    • 31 - Corporate Bond(2)

    • 32 - Introduction to Derivatives(1)

    • 32 - Introduction to Derivatives(2)

    • 32 - Introduction to Derivatives(3)

    • 33 - Futures Markets(1)

    • 33 - Futures Markets(2)

    • 34 - Commodity Forwards and Futures

    • 35 - Pricing Financial Forward and Futures(1)

    • 35 - Pricing Financial Forward and Futures(2)

    • 36 - Foreign Exchange Risk

    • 37 - FRA and Interest Rate Futures(1)

    • 37 - FRA and Interest Rate Futures(2)

    • 38 - Hedging Strategies Using Futures (1)

    • 38 - Hedging Strategies Using Futures (2)

    • 39 - Options Markets(1)

    • 39 - Options Markets(2)

    • 40 - Properties of Options(1)

    • 40 - Properties of Options(2)

    • 41 - Trading Strategies(1)

    • 41 - Trading Strategies(2)

    • 41 - Trading Strategies(3)

    • 42 - Exotic Options(1)

    • 42 - Exotic Options(2)

    • 43 - Swaps(1)

    • 43 - Swaps(2)

    • 44 - MBS(1)

    • 44 - MBS(2)

    • 44 - MBS(3)

  • 估值与风险模型(已更完)

    • 45 - pre

    • 45 - Measures of Financial Risk

    • 46 - Calculating and Applying VaR

    • 47 - Measuring and Monitoring Volatility(1)

    • 47 - Measuring and Monitoring Volatility(2)

    • 47 - Measuring and Monitoring Volatility(3)

    • 48 - External and Internal Ratings(1)

    • 48 - External and Internal Ratings(2)

    • 49 - Country Risk Determinants, Measures and Implications

    • 50 - Measuring Credit Risk(1)

    • 50 - Measuring Credit Risk(2)

    • 50 - Measuring Credit Risk(3)

    • 51 - Operational Risk(1)

    • 51 - Operational Risk(2)

    • 52 - Stress Testing

    • 53 - Prices, Discount Factors, and Arbitrage(1)

    • 53 - Prices, Discount Factors, and Arbitrage(2)

    • 53 - Prices, Discount Factors, and Arbitrage(3)

    • 54 - Interest Rates(1)

    • 54 - Interest Rates(2)

    • 55 - Bond Yields and Return(1)

    • 55 - Bond Yields and Return(2)

    • 56 - Applying Duration, Convexity and DV01(1)

    • 56 - Applying Duration, Convexity and DV01(2)

    • 56 - Applying Duration, Convexity and DV01(3)

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

    • 58 - Binomial Trees(1)

    • 58 - Binomial Trees(2)

    • 59 - The Black-Scholes-Merton Model(1)

    • 59 - The Black-Scholes-Merton Model(2)

    • 60 - Option Sensitivity Measures The Greeks(1)

    • 60 - Option Sensitivity Measures The Greeks(2)

串讲强化(已更完)

  • 风险管理基础(已更完)

    • 风险管理基础复习-1

    • 风险管理基础复习-2

    • 风险管理基础复习-3

    • 风险管理基础复习-4

    • 风险管理基础复习-5

    • 风险管理基础复习-6

    • 风险管理基础复习-7

    • 风险管理基础复习-8

    • 风险管理基础复习-9

    • 风险管理基础复习-10

    • 风险管理基础复习-11

    • 风险管理基础复习-12

    • 风险管理基础复习-13

    • 风险管理基础复习-14

    • 风险管理基础复习-15

    • 风险管理基础复习-16

    • 风险管理基础复习-17

    • 风险管理基础复习-18

  • 数量分析(已更完)

    • 数量分析复习-1

    • 数量分析复习-2

    • 数量分析复习-3

    • 数量分析复习-4

    • 数量分析复习-5

    • 数量分析复习-6

    • 数量分析复习-7

    • 数量分析复习-8

    • 数量分析复习-9

    • 数量分析复习-10

    • 数量分析复习-11

    • 数量分析复习-12

    • 数量分析复习-13

    • 数量分析复习-14

    • 数量分析复习-15

    • 数量分析复习-16

    • 数量分析复习-17

    • 数量分析复习-18

    • 数量分析复习-19

  • 金融市场产品(已更完)

    • 金融市场产品复习-1

    • 金融市场产品复习-2

    • 金融市场产品复习-3

    • 金融市场产品复习-4

    • 金融市场产品复习-5

    • 金融市场产品复习-6

    • 金融市场产品复习-7

    • 金融市场产品复习-8

    • 金融市场产品复习-9

    • 金融市场产品复习-10

    • 金融市场产品复习-11

    • 金融市场产品复习-12

    • 金融市场产品复习-13

    • 金融市场产品复习-14

    • 金融市场产品复习-15

    • 金融市场产品复习-16

    • 金融市场产品复习-17

    • 金融市场产品复习-18

    • 金融市场产品复习-19

    • 金融市场产品复习-20

    • 金融市场产品复习-21

  • 估值与风险模型(已更完)

    • 估值与风险模型-1

    • 估值与风险模型-2

    • 估值与风险模型-3

    • 估值与风险模型-4

    • 估值与风险模型-5

    • 估值与风险模型-6

    • 估值与风险模型-7

    • 估值与风险模型-8

    • 估值与风险模型-9

    • 估值与风险模型-10

    • 估值与风险模型-11

    • 估值与风险模型-12

    • 估值与风险模型-13

    • 估值与风险模型-14

冲刺押题(已更完)

  • 风险管理基础(已更完)

    • 风险管理基础押题-1

    • 风险管理基础押题-2

    • 风险管理基础押题-3

    • 风险管理基础押题-4

    • 风险管理基础押题-5

    • 风险管理基础押题-6

  • 数量分析(已更完)

    • 数量分析押题-1

    • 数量分析押题-2

    • 数量分析押题-3

    • 数量分析押题-4

    • 数量分析押题-5

    • 数量分析押题-6

    • 数量分析押题-7

    • 数量分析押题-8

  • 金融市场产品(已更完)

    • 金融市场产品押题-1

    • 金融市场产品押题-2

    • 金融市场产品押题-3

    • 金融市场产品押题-4

    • 金融市场产品押题-5

    • 金融市场产品押题-6

    • 金融市场产品押题-7

    • 金融市场产品押题-8

    • 金融市场产品押题-9

    • 金融市场产品押题-10

    • 金融市场产品押题-11

    • 金融市场产品押题-12

    • 金融市场产品押题-13

    • 金融市场产品押题-14

    • 金融市场产品押题-15

    • 金融市场产品押题-16

    • 金融市场产品押题-17

    • 金融市场产品押题-18

  • 估值与风险模型(已更完)

    • 估值与风险模型押题-1

    • 估值与风险模型押题-2

    • 估值与风险模型押题-3

    • 估值与风险模型押题-4

    • 估值与风险模型押题-5

    • 估值与风险模型押题-6

    • 估值与风险模型押题-7

    • 估值与风险模型押题-8

    • 估值与风险模型押题-9

    • 估值与风险模型押题-10

  • 综合押题(已更完)

    • 综合押题-1

    • 综合押题-2

    • 综合押题-3

    • 综合押题-4

    • 综合押题-5

    • 综合押题-6

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5条评价
  • 山山超级甜

    2020-07-16 16:15

    讲解细致易懂,很好消化理解掌握,给老师点赞

  • 觅山酱吖

    2020-06-11 16:51

    同学推荐的,真的讲的好好呀,希望自己坚持下去!

  • 一只俊宇呀

    2020-06-02 16:14

    讲得很仔细,容易理解,希望能成功考过!

  • 是泽铭吖

    2020-05-13 16:14

    老师讲课非常好理解,希望今年能过!

  • 统赫少爷

    2020-02-28 16:48

    之前这里有些地方一直没懂,看完豁然开朗。继续坚持

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