融跃教育

FRM一二级联报套餐PLUS

价格: 2600.00

课程简介: 包括一级和二级前导课程、精讲课程、串讲强化课程、冲刺押题课程,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,考前冲刺押题,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!

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课程试听 推荐

  • 2020年FRM一级经典套餐
  • 2020年FRM二级经典套餐
  • FRM一二级联报套餐PLUS

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

知识精讲(已更完)

  • 试听课:市场风险

    • 1 - Estimating Market Risk Measures(1)

    • 1 - Estimating Market Risk Measures(2)

    • 2 - Non-parametric Approaches(1)

    • 2 - Non-parametric Approaches(2)

    • 3 - Extreme Value

    • 4 - Backtesting VaR

  • 市场风险(已更完)

    • 1 - Estimating Market Risk Measures(1)

    • 1 - Estimating Market Risk Measures(2)

    • 2 - Non-parametric Approaches(1)

    • 2 - Non-parametric Approaches(2)

    • 3 - Extreme Value

    • 4 - Backtesting VaR

    • 5 - VaR Mapping(1)

    • 5 - VaR Mapping(2)

    • 6 - Risk Measurement for Trading Book

    • 7 - Some Correlation Basics (1)

    • 7 - Some Correlation Basics (2)

    • 8 - Empirical Properties of Correlation

    • 9 - Financial Correlation Modeling - Bottom-Up Approaches

    • 10 - Empirical Approaches to Risk Metrics and Hedging

    • 11- The Science of Term Structure Models(1)

    • 11- The Science of Term Structure Models(2)

    • 12 - The Evolution of Short Rates and the Shape of the Term Structure

    • 13 - The Art of Term Structure Models Drift

    • 14 - The Art of Term Structure Models Volatility and Distribution

    • 15 - Volatility Smiles

    • 16 - Fundamental Review of the Trading Book

  • 信用风险(已更完)

    • 17 - credit decision

    • 18 - credit analyst

    • 19 - capital structure of bank

    • 20 - Rating Assignment Methodologies(1)

    • 20 - Rating Assignment Methodologies(2)

    • 21- Credit Risks and Credit Derivatives(1)

    • 21- Credit Risks and Credit Derivatives(2)

    • 21- Credit Risks and Credit Derivatives(3)

    • 22 - Spread Risk and Default Intensity Models(1)

    • 22 - Spread Risk and Default Intensity Models(2)

    • 23 - Portfolio Credit Risk

    • 24 - Structured Credit Risk(1)

    • 24 - Structured Credit Risk(2)

    • 25 - Counterparty Risk

    • 26 - Netting, Close-out and Related Aspects

    • 27 - Collateral

    • 28 - Credit Exposure and Funding

    • 29 - Counterparty Risk Intermediation

    • 30 - Credit and Debt Value Adjustment

    • 31 - Wrong-way Risk(1)

    • 31 - Wrong-way Risk(2)

    • 32 - The Evolution of Stress Testing Counterparty Exposures

    • 33 - Retail banking credit risk scoring

    • 34 - securitization & credit derivatives(1)

    • 34 - securitization & credit derivatives(2)

    • 35 - An Introduction to Securitization(1)

    • 35 - An Introduction to Securitization(2)

    • 36-Understanding the Securitization of Subprime Mortgage Credit

  • 操作风险(已更完)

    • 37 - Principles for the Sound Management of Operational Risk(1)

    • 37 - Principles for the Sound Management of Operational Risk(2)

    • 38 - Enterprise Risk Management Theory and Practice

    • 39 - What is ERM

    • 40 - Implementing Robust Risk Appetite Frameworks to Strengthen Financial Institutions

    • 41 - Banking Conduct and Culture A Permanent Mindset Change

    • 42 - Risk Culture

    • 43 - OpRisk Data and Governance(1)

    • 43 - OpRisk Data and Governance(2)

    • 44 - Supervisory Guidance on Model Risk Management(1)

    • 44 - Supervisory Guidance on Model Risk Management(2)

    • 45 - Information Risk and Data Quality Management

    • 46 - Validating Rating Models

    • 47 - Assessing the Quality of Risk Measures

    • 48 - Risk Capital Attribution and Risk-Adjusted Performance Measurement

    • 49 - Range of practices and issues in economic capital frameworks

    • 50 - Capital Planning at Large Bank Holding Companies

    • 51 - Stress Testing Banks

    • 52 - Guidance on Managing Outsourcing Risk

    • 53 - Management of Risks Associated with Money Laundering and Financing of Terrorism

    • 54 - Regulation of the OTC Derivatives Market

    • 55 - Capital Regulation Before the Global Financial Crisis(1)

    • 55 - Capital Regulation Before the Global Financial Crisis(2)

    • 55 - Capital Regulation Before the Global Financial Crisis(3)

    • 55 - Capital Regulation Before the Global Financial Crisis(4)

    • 55 - Capital Regulation Before the Global Financial Crisis(5)

    • 56 - Solvency, Liquidity and Other Regulation After the Global Financial Crisis(1)

    • 56 - Solvency, Liquidity and Other Regulation After the Global Financial Crisis(2)

    • 56 - Solvency, Liquidity and Other Regulation After the Global Financial Crisis(3)

    • 57 - High-Level Summary of Basel Ⅲ Reforms(1)

    • 57 - High-Level Summary of Basel Ⅲ Reforms(2)

    • 58 - Basel Ⅲ-Finalising Post-Crisis Reforms

    • 59 - The Cyber-Resilient Organization

    • 60 - Cyber-Resilience- Range of Practices

    • 61 - Building the UK Financial Sector’s Operational Resilience

    • 62 - Striving for Operational Resilience

  • 流动性风险(已更完)

    • 63 - Liquidity Risk(1)

    • 63 - Liquidity Risk(2)

    • 63 - Liquidity Risk(3)

    • 63 - Liquidity Risk(4)

    • 64 - Liquidity and Leverage(1)

    • 64 - Liquidity and Leverage(2)

    • 64 - Liquidity and Leverage(3)

    • 65 - Early Warning Indicators

    • 66 - The Investment Function in Financial-Services Management

    • 67 - Liquidity And Reserves Management Strategies And Policies(1)

    • 67 - Liquidity And Reserves Management Strategies And Policies(2)

    • 68 - Intraday Liquidity Risk Management

    • 69 - Monitoring Liquidity(1)

    • 69 - Monitoring Liquidity(2)

    • 70 - The Failure Mechanics of Dealer Banks

    • 71 - Liquidity Stress Testing

    • 72 - Liquidity Risk Reporting and Stress Testing

    • 73 - Contingency Funding Planning

    • 74 - Managing and Pricing Deposit Services

    • 75 - Managing Nondeposit liabilities

    • 76 - Repurchase Agreements and Financing(1)

    • 76 - Repurchase Agreements and Financing(2)

    • 77 - Liquidity Transfer Pricing(1)

    • 77 - Liquidity Transfer Pricing(2)

    • 78 - The us dollar shortage in global banking

    • 79 - Covered interest Parity lost

    • 80 - Risk Management tor Changing Interest Rates(1)

    • 80 - Risk Management tor Changing Interest Rates(2)

    • 81 - Illiquidity asset(1)

    • 81 - Illiquidity asset(2)

  • 投资风险管理(已更完)

    • 82 - Factor Theory(1)

    • 82 - Factor Theory(2)

    • 83 - Factors(1)

    • 83 - Factors(2)

    • 84 - Alpha (and the Low-Risk Anomaly)(1)

    • 84 - Alpha (and the Low-Risk Anomaly)(2)

    • 84 - Alpha (and the Low-Risk Anomaly)(3)

    • 85 - Portfolio Construction(1)

    • 85 - Portfolio Construction(2)

    • 86 - Portfolio Risk

    • 87 - VaR and Risk Budgeting in Investment Management(1)

    • 87 - VaR and Risk Budgeting in Investment Management(2)

    • 88 - Risk Monitoring and Performance Measurement

    • 89 - Portfolio Performance Evaluation(1)

    • 89 - Portfolio Performance Evaluation(2)

    • 90 - Hedge Funds(1)

    • 90 - Hedge Funds(2)

    • 91 - Performing Due Diligence on Specific Managers and Funds

  • 实事分析(已更完)

    • 92 - The Rise of Digital Money

    • 93 - FinTech and market structure in financial services

    • 94 - Implications of fintech developments for banks and bank supervisors

    • 95 - Fintech Credit Markets Around The World

    • 96 - The Impact of Blockchain Technology on Finance(1)

    • 96 - The Impact of Blockchain Technology on Finance(2)

    • 97 - Beyond LIBOR

    • 98 - Climate change and financial risk

    • 99 - Big data new Tricks for econometrics

    • 100 - Machine Learning A Revolution in Risk Management and Compliance

    • 101 - Artificial intelligence and machine learning in financial services

串讲强化(已更完)

  • 市场风险(已更完)

    • 市场风险复习-1

    • 市场风险复习-2

    • 市场风险复习-3

    • 市场风险复习-4

    • 市场风险复习-5

    • 市场风险复习-6(新增)

  • 信用风险(已更完)

    • 信用风险复习-1

    • 信用风险复习-2

    • 信用风险复习-3

    • 信用风险复习-4

    • 信用风险复习-5

    • 信用风险复习-6

    • 信用风险复习-7

  • 操作风险(已更完)

    • 操作风险复习-1

    • 操作风险复习-2

    • 操作风险复习-3

    • 操作风险复习-4

    • 操作风险复习-5

    • 操作风险复习-6

    • 操作风险复习-7

    • 操作风险复习-8

    • 操作风险复习-9

    • 操作风险复习-10

    • 操作风险复习-11

    • 操作风险复习-12

    • 操作风险复习-13

    • 操作风险复习-14

    • 操作风险复习-15

    • 操作风险复习-16

    • 操作风险复习-17

    • 操作风险复习-18

    • 操作风险复习-19

    • 操作风险复习-20

    • 操作风险复习-21

    • 操作风险复习-22

    • 操作风险复习-23

    • 操作风险复习-24

    • 操作风险复习-25

    • 操作风险复习-26

    • 操作风险复习-27

    • 操作风险复习-28

    • 操作风险复习-29

  • 流动性风险(已更完)

    • 流动性风险复习-1

    • 流动性风险复习-2

    • 流动性风险复习-3

    • 流动性风险复习-4

    • 流动性风险复习-5

    • 流动性风险复习-6

    • 流动性风险复习-7

    • 流动性风险复习-8

    • 流动性风险复习-9

    • 流动性风险复习-10

    • 流动性风险复习-11

    • 流动性风险复习-12

  • 投资风险管理 - shawn(已更完)

    • 投资组合复习-1

    • 投资组合复习-2

    • 投资组合复习-3

    • 投资组合复习-4

    • 投资组合复习-5

    • 投资组合复习-6

    • 投资组合复习-7

    • 投资组合复习-8

    • 投资组合复习-9

    • 投资组合复习-10

    • 投资组合复习-11

    • 投资组合复习-12

    • 投资组合复习-13

    • 投资组合复习-14

    • 投资组合复习-15

  • 投资风险管理 - evelyn(已更完)

    • 投资风险复习-1

    • 投资风险复习-2

    • 投资风险复习-3

    • 投资风险复习-4

    • 投资风险复习-5

    • 投资风险复习-6

    • 投资风险复习-7

    • 投资风险复习-8

冲刺押题(已更完)

  • 市场风险(已更完)

    • 市场风险押题-1

    • 市场风险押题-2

    • 市场风险押题-3

    • 市场风险押题-4

  • 信用风险(已更完)

    • 信用风险押题-1

    • 信用风险押题-2

    • 信用风险押题-3

    • 信用风险押题-4

  • 操作风险(已更完)

    • 操作风险押题-1

    • 操作风险押题-2

    • 操作风险押题-3

    • 操作风险押题-4

    • 操作风险押题-5

    • 操作风险押题-6

  • 流动性风险(已更完)

    • 流动性风险押题-1

    • 流动性风险押题-2

    • 流动性风险押题-3

    • 流动性风险押题-4

    • 流动性风险押题-5

  • 投资风险管理(已更完)

    • 投资风险管理押题-1

    • 投资风险管理押题-2

    • 投资风险管理押题-3

    • 投资风险管理押题-4

    • 投资风险管理押题-5

    • 投资风险管理押题-6

  • 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

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5条评价
  • 止袆

    2020-07-15 16:49

    言简意赅,精炼省时,谢谢老师的陪伴

  • 是东宁吖

    2020-06-26 16:12

    老师讲课非常棒,知识点剖析准确解释的,能让听课者非常明白,而且快速掌握非常好

  • 宿贝贝

    2020-06-11 16:35

    言简意赅,条理清晰,看老师的课学习效率特别高!

  • 字钰

    2020-05-23 16:34

    很不错哦,很好理解,听了课对考证更有信心了。

  • 弘亮超级甜

    2020-03-10 16:46

    整堂课思路清晰,环节紧凑,重难点突出,设计合理。学生的课堂习惯非常好,每个人都能积极的参与到课堂中,课堂效果较好。

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