FRM Part 1 - Book 3 - Financial Markets and Products (2/2)

Why take this course?
🚀 FRM Course by Prof. James Forgan, PhD: Master Financial Markets and Products! _(Your Journey to Mastering Financial Risk Management Begins Here!)
🎉 Course Overview: Get ready to conquer the world of financial markets with our FRM Part 1 course, meticulously crafted by industry veteran Prof. James Forgan, PhD. This comprehensive training is designed to demystify the final 11 chapters of the "Financial Markets and Products" book, ensuring you're fully prepared for your FRM Part 1 exam. With over two and a half decades of college-level business teaching experience, Prof. Forjan brings a wealth of knowledge that will transform how you understand financial risk management.
📚 Course Structure: Dive into an exploration of the most critical concepts through our structured course outline:
- Options Markets: Understand the dynamics and mechanisms of options trading.
- Properties of Options: Learn about call and put options, strike prices, expiration dates, and option pricing models.
- Trading Strategies: Master various trading strategies used in financial markets to mitigate and manage risk.
- Exotic Options: Delve into the complexities and characteristics of exotic options like barrier options, Asian options, and American options.
- Properties of Interest Rates: Grasp the nature and types of interest rates and how they affect pricing.
- Corporate Bonds: Analyze the different types of corporate bonds, their risks, and yields.
- Mortgages and Mortgage-backed Securities (MBS): Explore the world of residential and commercial mortgages, MBS, and their roles in financial markets.
- Interest Rate Futures: Learn about interest rate futures contracts and how they are used for hedging and speculative purposes.
- Swaps: Understand the types and uses of swap agreements, including their risks and returns.
🎓 Key Takeaways:
- A clear understanding of the key concepts in financial markets and products as per FRM Part 1 syllabus.
- Practical insights from a seasoned educator with real-world experience.
- An edge over your peers by gaining advanced knowledge of financial instruments and their applications.
- The confidence to tackle complex scenarios and situations involving risk management in finance.
📈 Why Choose This Course?
- Expertise: Learn from an authoritative figure in the field of finance education.
- Focused Content: A concise course that zeroes in on the most examinable topics.
- Easy to Follow: Structured content for clarity and retention, with real-life examples where applicable.
- Engaging Format: Interactive learning experience designed to keep you engaged throughout the course.
📅 Your Next Steps: Ready to elevate your financial risk management expertise? Enroll in our FRM Part 1 - Book 3 course today and embark on a journey to becoming a certified financial risk manager. With Prof. Forjan's guidance, you'll be well-equipped to analyze and manage the complexities of modern financial markets. 🎓💰
Sign up now and take the first step towards your FRM certification with our expertly designed course! Your future in financial risk management starts here. Let's navigate the intricacies of financial markets together – enroll today and unlock a world of opportunities! 🌟
Course Gallery




Loading charts...