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FRM PART II Intensive Live Virtual Class

Top 25 global banks are represented by Certified FRMs(The Banker, Top 1000 World Banks, 2012.) Even the top 20 global asset management firms are represented by Certified FRMs(Source: Pension & Investments, The P&I/Towers Watson World 500: World's largest money managers, Oct 2012.)

The Virtual classes will be conducted in 2 time-zones:

  1. 9am to 3pm CST(Including 1 hour break)
  2. 3pm to 9pm AEST(Including 1 hour break)

To check timings in your time zone click here

ABOUT FRM® (Financial Risk Manager) Certification Exam Part II

The FRM® Program, offered by the Global Association of Risk Professionals (GARP, USA), is a globally recognized, graduate level curriculum that provides skills required for a rewarding career in Risk Management, Trading, Structuring, Modeling, etc. FRM® Exam Part II is at an advanced level as compared to FRM®Exam Part I.


At the end of the course, Participants will be able to:

Plan for potential risks which will help in the creation of a financial business strategy that seeks a constant upward trend.

Determine How to choose to legally create your business can have a large affect on personal liability for your company's debts. And many more..

Sample Preview of our Material:

Techniques for valuing MBS && Waterfall Structure Example


This program is suitable for Bankers, IT professionals, Analytics and Finance professionals with an interest in risk management.
It is also beneficial for Btech, MBA, Finance graduates who are interested in financial risk management career.


Lucrative career options in Risk Management, Trading, Structuring, Modeling, etc. FRM® holders have positions such as Chief Risk Officer, Senior Risk Analyst, Head of Operational Risk, and Director, Investment Risk Management, to name a few. Strong value addition to your skills, credentials and resume Complete coverage of risk management concepts.


To become a Certified FRM®, candidates must meet a two year professional work experience requirement.
However, there are no educational or professional prerequisites to sit for either part of the FRM Exam. Once candidates pass both parts of the FRM® Exam, candidates must satisfy the work experience requirement before they can become certified and use the FRM® designation.


A professional credential offered by Global Association of Risk Professionals (GARP, USA)
An international benchmark: 24000 FRM Charter holders across 90 nations
Endorsed by leading businesses and universities
The FRM® Program Certification has two different Levels and the minimum time required to clear both is around 1 year
FRM charter holder membership requirements are 24 months of acceptable professional work experience and passing the Part I and Part II exams and an active membership of GARP.


Day 1 - Market Risk
Art of term structure models and Back testing
Residential Mortgage backed securities
Market risk measures and Exotic options

Day 2 - Market risk
Correlations and copulas and Non-Parametric approaches
Mortgages and Parametric approaches
Risk measurement and term structure model

Day 3 - Market risk
Evolution of short rates and VaR mapping, Volatility smiles
MBS Valuing, Volatility and distribution
MBS Valuing, Volatility and distribution

Day 4 - Credit risk
CDO's, Credit and Counterparty risk
Credit derivatives and CLN
Credit risk and Counterparty risk

Day 5 - Credit risk
Default Risk and Mitigation counterparty credit risk.
Portfolio Credit risk and Pricing Counterparty
Quantifying Counterparty credit exposure

Day 6 - Credit risk
Securitization, Spread risk and Default Intensity Models
Structured Credit Risk
Securitization of Subprime Mortgage Credit

Day 7 - Operational Risk
Key issue in Capital Modeling and Quality of risk measures
Basel II, III
Capital allocation and performance measurement
Operational risk from loss
Day 8 - Operational Risk
Basel assessment
ERM and Liquidity risk
Regression analysis
Liquidity, Leverage and Failure mechanics of Dealer Banks
Day 9 - Operational Risk
Model Risk and Risk appetite and IT Infrastructure
Principles for the Sound Management and Economic capital Modeling
Stress testing Banks
Supervisory Guidelines for the Advanced Management Approaches
Day 10 - Risk Management
Security returns, Hedge Funds (strategies & Overview), Red Flags
Private Equity, Portfolio construction, Risk Analytical Method
Risk Management Hedge fund
Day 11 - Risk Management and Current Issue
Trust and Delegation
VaR and Risk budgeting in Investment management
Challenges of Financial Innovation
Day 12 - Current Issue
ETF, Market structure and Flash Cards
Perspective on Liquidity Stress Testing , International Perspective
Tails of the Unexpected and The Dog and the Frisbee
Day 13 & 14 - Problem Solving Day 15 - Mock Test + Solving Mock Test


The calendars below provide approximate timelines.

FRM® Exam Part II Important Dates and Fees
Registration Deadlines New Candidates (USD $) Returning &; Enrolled Candidates (USD $)
Early Registration
Dec 1, 2013–Jan 31, 2014
Enrollment: $300 + Exam: $350 = Total: $650 Enrollment: N/A + Exam: $350 = Total: $350
Standard Registration
Feb 1, 2014–Feb 28, 2014
Enrollment: $300 + Exam: $475 = Total: $775 Enrollment: N/A + Exam: $475 = Total: $475
Late Registration
Mar 1, 2014–Apr 15, 2014
Enrollment: $300 + Exam: $650 = Total: $950 Enrollment: N/A + Exam: $650 = Total: $650


Mock test

Take our mock tests designed to simulate the real exam. Detailed solutions of the tests & the exam report card would be provided.

Unlimited Download Access

Download the whole material anytime during your 1 year subscription and use it for any future reference.

Topic wise Quizzes

Test yourself after going through each topic in the material. Over 400 questions.

Video Tutorials

Easy to follow byte sized video tutorials of over 1200 minutes created by topic experts. Learn the concepts at your own pace.



Thank you for helping me pass the FRM exam. The thousands of questions in your program really help me prepare. Good Luck to EduPristine Careers ongoing success.

The study material and videos are really helpful. The co-ordinator and the whole team is very supportive and flexible. Keep up the good work!.


Part I exam is available in May & November each year. Part I and II exams are available in May each year.

Yes. You are permitted to use specified financial calculators (TI BA II and HP 12C).

related links

Batch Start Date


Ph: +1 347 647 9001
Venue Details: TBD
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Upcoming Batches




Global Association of Risk Professionals, Inc. (GARP®) does not endorse, promote, review or warrant the accuracy of the products or services offered by EduPristine for FRM® related information, nor does it endorse any pass rates claimed by the provider. Further, GARP® is not responsible for any fees or costs paid by the user to EduPristine nor is GARP® responsible for any fees or costs of any person or entity providing any services to EduPristine Study Program. FRM®, GARP® and Global Association of Risk Professionals®, are trademarks owned by the Global Association of Risk Professionals, Inc

CFA Institute does not endorse, promote, or warrant the accuracy or quality of the products or services offered by EduPristine. CFA Institute, CFA®, Claritas® and Chartered Financial Analyst® are trademarks owned by CFA Institute.

Utmost care has been taken to ensure that there is no copyright violation or infringement in any of our content. Still, in case you feel that there is any copyright violation of any kind please send a mail to and we will rectify it.

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