融跃教育

2022年FRM一级经典持证PLUS套餐

价格: 1580.00

课程简介: 包括前导课程、精讲课程、串讲强化课程,另外还搭载智能题库(配有视频解析)、全景模考,旨在打造更经典的学习课程,搜集精品习题,考前机考模拟,另有平台答疑,及时解答你在学习中出现的问题,同时还有考前指导及考前通知,是经典持证班的升级版,更全面,更有料,让你一站到底,顺利通关!

视频有效期:12个月

视频时长:约128学时

视频数量:289个

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课程试听 推荐

  • 2022年FRM一级经典持证PLUS套餐
  • FRM一级全景模考解析班
  • 2022年FRM一级经典班

2022年考纲对比介绍

  • 1.一级考纲对比

    • 2022年FRM一级考纲对比

前导入门课

  • 1.金融数学

    • 1.Fundamentals of Probability

    • 2.Common Distributions

    • 3.Descriptive Statistics

    • 4.Inferential statistics

    • 5.Hypothesis testing

    • 6.Correlation analysis

    • 7.Linear regression

  • 2.金融英语

    • FRM与英语(1)

    • FRM与英语(2)

    • Grammar(1)

    • Grammar(2)

    • Financial Risk

    • Financial Institute(1)

    • Financial Institute(2)

    • Financial Institute(3)

    • Financial Products(1)

    • Financial Products(2)

  • 3.金融计算器

    • 1.Introduction

    • 2.Calculator Version

    • 3.Calculator overview

    • 4.Decimal point setting

    • 5.Priority mode setting

    • 6.Beginning and End mode setting

    • 7.Store and call function

    • 8.Common Clear key

    • 9.Exponential function

    • 10.Logarithm, factorial, permutation and combination function

    • 11.Poisson distribution, binomial distribution function

    • 12.Bond price calculation and date function

    • 13.Time value of money function

    • 14.Practice of time value of money

    • 15.Situations where time value of money does not apply

    • 16.Statistics function

  • 4.金融市场产品

    • 1.Introduction to financial market products

    • 2.Bank

    • 3.Insurance company and fund company

    • 4.OTC and bond

    • 5.Bond

    • 6.Forward and futures

    • 7.Swap

    • 8.Options (1)

    • 9.Options (2)

  • 5.金融债券类产品基础

    • 1.Definition of bond

    • 2.Face value of bonds

    • 3.Term of repayment/Maturity and Coupon rate

    • 4.Frequency of coupon payment

    • 5.Issue price

    • 6.Repayment and Liquidity

    • 7.Safety/Security and Profitability

    • 8.Divided by issuer

    • 9.Divided by property guarantee

    • 10.Divided by the rate of coupon payment

    • 11.Bonds Versus Stocks

    • 12.Bonds Versus Funds

    • 13.Risks Faced

    • 14.Risk Management

    • 15.Pricing of Bonds

  • 6.银行经营模式

    • 1.Bank Governance Framework

    • 2.Bank operation model

    • 3.Bank financial statement

基础精讲课

  • 1.风险管理基础(已更完)

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

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

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

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

    • 3 - Coporate Governance and Risk Management(1)

    • 3 - Coporate Governance and Risk Management(2)

    • 4 - Credit Risk Transfer Mechanisms

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

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

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

    • 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)

    • 11 - GARP Code of Conduct

  • 2.数量分析(已更完)

    • 1 - Quantitative Rule(1)

    • 1 - Quantitative Rule(2)

    • 1 - Quantitative Rule(3)

    • 2 - Random Variables(1)

    • 2 - Random Variables(2)

    • 3 - Common Univariate(1)

    • 3 - Common Univariate(2)

    • 3 - Common Univariate(3)

    • 4 - Multivariate Random Variables(1)

    • 4 - Multivariate Random Variables(2)

    • 5- Sample Moments(1)

    • 5- Sample Moments(2)

    • 6 - Hypothesis Tests(1)

    • 6 - Hypothesis Tests(2)

    • 7 - Linear Regression(1)

    • 7 - Linear Regression(2)

    • 8 - Linear Regression with Multiple Explanatory Variable(1)

    • 8 - Linear Regression with Multiple Explanatory Variable(2)

    • 9 - Regression Diagnostics(1)

    • 9 - Regression Diagnostics(2)

    • 10 - Stationary Time Series(1)

    • 10 - Stationary Time Series(2)

    • 11 - Non-Stationary Time Series

    • 12-Measuring Returns, Volatility, and Correlation(1)

    • 12-Measuring Returns, Volatility, and Correlation(2)

    • 13 - Simulation Methods(1)

    • 13 - Simulation Methods(2)

  • 3.金融市场产品(已更完)

    • 1 - Banks

    • 2 - Insurance Companies and Pension Plans

    • 3 - Funds Management(1)

    • 3 - Funds Management(2)

    • 4 - Exchanges and OTC Markets(1)

    • 4 - Exchanges and OTC Markets(2)

    • 5 - Central clearing

    • 6 - Interest Rates and Bond Basics(1)

    • 6 - Interest Rates and Bond Basics(2)

    • 6 - Interest Rates and Bond Basics(3)

    • 6 - Interest Rates and Bond Basics(4)

    • 7 - Corporate Bonds(1)

    • 7 - Corporate Bonds(2)

    • 8 - Introduction to Derivatives(1)

    • 8 - Introduction to Derivatives(2)

    • 9 - Futures Markets(1)

    • 9 - Futures Markets(2)

    • 10 - Pricing Financial Forwards and Futures(1)

    • 10 - Pricing Financial Forwards and Futures(2)

    • 11 - Commodity Forwards and Futures

    • 12 - Foreign Exchange Markets

    • 13 - FRA and Interest Rate Futures(1)

    • 13 - FRA and Interest Rate Futures(2)

    • 14 - Using Futures for Hedging (1)

    • 14 - Using Futures for Hedging (2)

    • 15 - Swaps(1)

    • 15 - Swaps(2)

    • 16 - Options Markets(1)

    • 16 - Options Markets(2)

    • 17 - Properties of Options(1)

    • 17 - Properties of Options(2)

    • 18 - Trading Strategies(1)

    • 18 - Trading Strategies(2)

    • 18 - Trading Strategies(3)

    • 19 - Exotic Options(1)

    • 19 - Exotic Options(2)

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

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

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

  • 4.估值与风险模型(已更完)

    • 0 - Valuation and Risk Model

    • 1 - Measures of Financial Risk

    • 2 - Calculating and Applying VaR

    • 3 - Measuring and Monitoring Volatility(1)

    • 3 - Measuring and Monitoring Volatility(2)

    • 3 - Measuring and Monitoring Volatility(3)

    • 4 - External and Internal Ratings(1)

    • 4 - External and Internal Ratings(2)

    • 5 - Country Risk

    • 6 - Measuring Credit Risk(1)

    • 6 - Measuring Credit Risk(2)

    • 6 - Measuring Credit Risk(3)

    • 7 - Operational Risk(1)

    • 7 - Operational Risk(2)

    • 8 - Stress Testing

    • 9 - Pricing Conventions, Discounting, and Arbitrage(1)

    • 9 - Pricing Conventions, Discounting, and Arbitrage(2)

    • 9 - Pricing Conventions, Discounting, and Arbitrage(3)

    • 10 - Interest Rates(1)

    • 10 - Interest Rates(2)

    • 11 - Bond Yields and Return(1)

    • 11 - Bond Yields and Return(2)

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

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

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

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

    • 14 - Binomial Trees(1)

    • 14 - Binomial Trees(2)

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

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

    • 16 - Option Sensitivity Measures- The “Greeks”(1)

    • 16 - Option Sensitivity Measures- The “Greeks”(2)

串讲强化课

  • 1.风险管理基础(已更完)

    • 1 - Introduction

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

    • 2 - The Building Blocks Of Risk Management(2)

    • 2 - The Building Blocks Of Risk Management(3)

    • 3 - How Do Firms Manage Financial Risk

    • 4 - The Governance Of Risk Management

    • 5 - Credit Risk Transfer Mechanisms

    • 6 - Principles For Effective Data Aggregation And Risk Reporting

    • 7 - Enterprise risk management and futures trend

    • 8 - Financial Disaster(1)

    • 8 - Financial Disaster(2)

    • 8 - Financial Disaster(3)

    • 8 - Financial Disaster(4)

    • 9 - The Financial Crisis Of 2007-2009

    • 10 - The Standard Capital Asset Pricing Model

    • 11 - Applying the CAPM to Performance Measurement

    • 12 - Arbitrage Pricing Theory and Multifactor Models

    • 13 - GARP Code of Conduct

  • 2.数量分析(已更完)

    • Quantitative Analysis Review-1

    • Quantitative Analysis Review-2

    • Quantitative Analysis Review-3

    • Quantitative Analysis Review-4

    • Quantitative Analysis Review-5

    • Quantitative Analysis Review-6

    • Quantitative Analysis Review-7

    • Quantitative Analysis Review-8

    • Quantitative Analysis Review-9

    • Quantitative Analysis Review-10

    • Quantitative Analysis Review-11

    • Quantitative Analysis Review-12

    • Quantitative Analysis Review-13

    • Quantitative Analysis Review-14

    • Quantitative Analysis Review-15

    • Quantitative Analysis Review-16

    • Quantitative Analysis Review-17

    • Quantitative Analysis Review-18

    • Quantitative Analysis Review-19

  • 3.金融市场产品(已更完)

    • Financial Markets and Products Review-1

    • Financial Markets and Products Review-2

    • Financial Markets and Products Review-3

    • Financial Markets and Products Review-4

    • Financial Markets and Products Review-5

    • Financial Markets and Products Review-6

    • Financial Markets and Products Review-7

    • Financial Markets and Products Review-8

    • Financial Markets and Products Review-9

    • Financial Markets and Products Review-10

    • Financial Markets and Products Review-11

    • Financial Markets and Products Review-12

    • Financial Markets and Products Review-13

    • Financial Markets and Products Review-14

    • Financial Markets and Products Review-15

    • Financial Markets and Products Review-16

    • Financial Markets and Products Review-17

    • Financial Markets and Products Review-18

    • Financial Markets and Products Review-19

    • Financial Markets and Products Review-20

    • Financial Markets and Products Review-21

  • 4.估值与风险模型(已更完)

    • Valuation and Risk Models Review-1

    • Valuation and Risk Models Review-2

    • Valuation and Risk Models Review-3

    • Valuation and Risk Models Review-4

    • Valuation and Risk Models Review-5

    • Valuation and Risk Models Review-6

    • Valuation and Risk Models Review-7

    • Valuation and Risk Models Review-8

    • Valuation and Risk Models Review-9

    • Valuation and Risk Models Review-10

    • Valuation and Risk Models Review-11

    • Valuation and Risk Models Review-12

    • Valuation and Risk Models Review-13

    • Valuation and Risk Models Review-14

机考解析

  • 1.A卷

    • 一级A卷 - 1

    • 一级A卷 - 2

    • 一级A卷 - 3

    • 一级A卷 - 4

    • 一级A卷 - 5

    • 一级A卷 - 6

    • 一级A卷 - 7

  • 2.B卷

    • 一级B卷 - 1

    • 一级B卷 - 2

    • 一级B卷 - 3

    • 一级B卷 - 4

    • 一级B卷 - 5

    • 一级B卷 - 6

    • 一级B卷 - 7

    • 一级B卷 - 8

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