Prof Sanjay Saraf

FRM Part 1 Video Lectures By Prof Sanjay Saraf and Prof Karan Aggarwal

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  • Regular price Rs. 31,000.00


FRM Part 1 Video Lectures By Prof Sanjay Saraf and Prof Karan Aggarwal in 360 Hrs. These lectures are beneficial for Nov 23 attempts. Study materials will be provided with the same.

Restrictions: This Course is not available for students in Kolkata, Howrah & 24 Parganas.

    Kit Contents
    • Video Lectures + Study Materials (Total 4 Books)
    Total Views
    • 3 times on duration with unlimited clicks
    Lecture Duration
    • 360 Hrs (200-220 lectures)
    Recording
    • Latest
    Mode
    • Live Batch 
    Validity
    • Till Nov 23 from the date of issuance of the download link and serial key
    Video Language
    • Hindi-English Mix
    Study Mat Language
    • English
    Doubt Solving
    • Mail
    Technical Support
    • Email - support@zeroinfy.in
    Delivery
    • Google Drive Link will be shared within 2-3 working days.
    Documents
    • Undertaking Letter Scanned Proof Of Address And Scanned Proof Of Identity

    The FRM designation is a professional certification offered by the Global Association of Risk Professionals (GARP). The designation is viewed as the globally recognized gold standard for risk professionals. Since its inception in 1997, the FRM designation has rapidly grown in popularity, with enrollment in the program increasing year after year, and exploding in the years following the global financial crisis of 2008.

    The improper handling of potential market and credit risks in the early part of the 21st century led to a huge demand for qualified risk professionals who were able to define a firm's risks clearly and accurately. Professionals holding the FRM designation are often viewed as some of the most qualified in the industry, which led to the enrollment boom.

    In order to obtain the FRM designation, candidates are required to meet two key requirements:

    • Successfully pass two separate FRM exams, and complete a minimum of two years of full-time work experience in the field of financial risk, or related areas.
    • The work experience can be related to fields like portfolio management, industry research, trading, faculty academics, and risk consulting.
    • Since the FRM designation relates primarily to the field of finance, only finance-related vocations are considered acceptable work experience.

    A 100 question multiple-choice exam, the FRM Exam Part I focuses on the tools used to assess financial risk: quantitative analysis, fundamental risk management concepts, financial markets and products, and valuation and risk models. Part I is always offered in the morning and must be completed in four hours or less.

    Topics
    Weights
    Foundations of Risk Management
    20%
    Quantitative Analysis
    20%
    Financial Markets and Products
    30%
    Valuation and Risk Models
    30%


    Exam Details:

    Time Limit
    4 hours (8 am to 12noon)
    Number of Questions
    100
    Format
    Multiple Choice
    Negative Marking
    No
    Exam Date(s):
    May and November
    Exam Results:
    Usually provided within 60 days
    Official Exam Website:
    http://www.garp.org/frm/

    Scoring & Results

    There are no penalties for wrong answers. Passing scores are determined by the FRM Committee. Exam results are pass/fail and are emailed approximately six weeks after the exam. Candidates will receive quartile results comparing their performance to other candidates.

      Runs On
      • Laptop / Mobile
      Requirements
      • Laptop: Only Windows 8.1 or above
      • Mobile: Android 9.0 & Above
      Not Supported
      • APPLE, iPhone or IOS
      • Laptops below Windows 8.1
      Terms & Conditions
      • Once installed on a particular mobile or tablet, the same cannot be used on a different android device. Simultaneous login on both Android App and Laptop is not permitted. The machine on which the application is installed once cannot be changed. 
      Not Supported
      • Desktop, APPLE, iPhone, or IOS



       

      Sanjay Saraf Sir is India's leading faculty for CA Final SFM. His niche in financial markets makes him a natural choice for candidates. Sanjay Saraf Sir in his quest to become a knowledge powerhouse in finance has armored himself with a whole host of qualifications. Following is the list of his qualifications:

      • CHARTERED FINANCIAL ANALYST (CFA) CHARTERHOLDER
      • FINANCIAL RISK MANAGER (FRM)
      • CHARTERED FINANCIAL ANALYST (ICFAI)
      • MS FINANCE from ICFAI, Hyderabad
      • CERTIFIED INTERNATIONAL INVESTMENT ANALYST (CIIA)
      • CERTIFIED PORTFOLIO MANAGER (CPM)
      • CERTIFIED TREASURY MANAGER (CTM)
      • CERTIFIED INVESTMENT BANKER (CIB)

      Sanjay Saraf Sir owing to his in-depth conceptual training becomes a trainer of choice for all of India. His ability to connect with the student can be observed by his tremendous student following. He has consistently been the trainer behind rank holders and exemption holders in CA Final SFM. November 2019 or May 2019 or November 2018. Sanjay Saraf Sir has been delivering the best in CA Final SFM, CA Final Risk Management and CA Final Financial Services and Capital Market (FSCM).

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