What you'll get
  • 123+ Hours
  • 15 Courses
  • Mock Tests
  • Self-paced Courses
  • Technical Support
  • Case Studies

Synopsis

  • The Online FRM Level 2 Prep Course is a self-paced video training program designed to prepare learners for the FRM Part 2 examination.
  • The course covers advanced topics including market risk, credit risk, operational and integrated risk management, liquidity and treasury risk, investment risk, and current issues in financial markets.
  • Learners receive one year of access, allowing flexible study alongside professional or academic commitments.
  • The program is open to anyone serious about building expertise in financial risk management.
  • A basic understanding of finance and mathematics is recommended to follow the course effectively.
  • No specialized software is required, and the course can be accessed on systems with at least 1 GB of RAM and standard audio support.

Content

Courses No. of Hours Certificates Details
FRM II 2020:02 - Market Risk Measurement and Management6h 22mView Curriculum
FRM II 2020:02 - Credit Risk Measurement and Management15h 45mView Curriculum
FRM II 2020 - Liquidity and Treasury Risk Management and Measurement4h 27mView Curriculum
FRM II 2020 - Risk Management and Investment Management5h 8mView Curriculum
FRM II 2020 - Current Issues in Financial Markets9h 16mView Curriculum
Courses No. of Hours Certificates Details
FRM Level 2 Mock Paper 20202h 59mView Curriculum
FRM 2 Question Paper #13h View Curriculum
Courses No. of Hours Certificates Details
FRM II: Market Risk Measurement & Management3h 04mView Curriculum
FRM II - Credit Risk Measurement & Management13h 03mView Curriculum
FRM II: Operational and Integrated Risk Management9h 24mView Curriculum
FRM II - Risk Management & Investment Management8h 15mView Curriculum
FRM II: Current Issues In Financial Markets4h 14mView Curriculum
Courses No. of Hours Certificates Details
FRM Level 2 Updates: 202228h 22mView Curriculum
FRM II 2020 - Operational Risk and Resiliency11h 18mView Curriculum
FRM Level 2 Market Risk2h 13mView Curriculum
Courses No. of Hours Certificates Details
No courses found in this category.

Description

The Online FRM Level 2 Prep Course is structured to provide learners with in-depth expertise in financial risk management, fully aligned with the FRM Part 2 exam administered by GARP. The program provides in-depth coverage of complex risk concepts critical to professional practice and exam success.

Participants gain a structured understanding of market risk, credit risk, liquidity risk, operational resilience, and investment risk, as well as exposure to contemporary developments in global financial markets. The program balances conceptual understanding with practical exposure, helping learners analyze risk models, evaluate financial instruments, and apply quantitative methods with confidence.

This program serves as a comprehensive learning solution for professionals and aspiring risk managers seeking to strengthen their analytical capabilities and successfully pass the FRM Level 2 examination.

Goals

  • To prepare learners thoroughly for the FRM Level 2 examination
  • To develop advanced proficiency in financial risk measurement and management
  • To enhance understanding of global financial markets and emerging risk trends
  • To build confidence in applying quantitative and analytical risk frameworks

Objectives

  • Understand advanced market and credit risk measurement techniques
  • Apply liquidity, treasury, and operational risk frameworks effectively
  • Analyze derivatives, hedging strategies, and investment risks
  • Interpret risk models, correlations, and dependency structures
  • Gain familiarity with current issues impacting financial markets

Highlights

  • Comprehensive coverage aligned with the FRM Level 2 syllabus
  • Structured learning mapped to exam topic weightage
  • Practical insights into real-world risk management scenarios
  • Detailed explanations of quantitative and qualitative risk models
  • Mock exam sessions with strategic guidance
  • One-year flexible access for self-paced learning

Requirements

  • Basic understanding of finance, economics, and financial markets
  • Comfort with quantitative concepts such as probability and statistics
  • Familiarity with financial instruments and risk-return principles
  • Willingness to dedicate consistent study time

Target Audience

  • FRM Level 2 candidates seeking structured exam preparation
  • Risk managers and finance professionals in banks and financial institutions
  • Investment analysts and portfolio management professionals
  • Graduate and postgraduate students in finance, economics, or risk management
  • Fintech and blockchain professionals exploring financial risk implications
  • Corporate finance, compliance, audit, and governance professionals
  • Consultants and practitioners specializing in risk advisory services

FAQ

Q1. Is prior work experience mandatory to enroll in this course?

No, professional experience is not mandatory, although relevant exposure can enhance understanding.

Q2. Does this course follow the official FRM Level 2 syllabus?

Yes, the curriculum aligns with GARP's FRM Part 2 syllabus and topic weightings.

Q3. Is this course suitable for working professionals?

Yes, the self-paced video format allows flexibility for learners balancing work and study.

Q4. Does the course include exam preparation support?

Yes, learners receive mock paper-solving sessions and guidance on exam strategy.

Q5. Are software tools required for learning?

No additional software is required to complete the course.

Career Benefits

  • Enhances expertise in advanced financial risk management
  • Improves career prospects in banking, investment, and risk advisory roles
  • Builds strong analytical and quantitative risk assessment skills
  • Supports the successful completion of the FRM Level 2 examination
  • Strengthens professional credibility in global financial markets
  • Opens opportunities in risk management, treasury, compliance, and investment roles