Boost your risk management career with the help of our Top FRM Courses and MOOCs. Designed with the aim of equipping learners with critical financial risk and assessment skills.
Key Takeaways
- A chance to master risk management frameworks and quantitative analysis.
- Access to material to prepare for the FRM exams through targeted training.
- Gain market, credit, and operational risk insights.
What key topics are covered in FRM courses?
These FRM courses cover topics like quantitative analysis, risk management in investments, risk modeling, and frameworks used for managing and mitigating financial risks efficiently.
Online FRM Courses Evaluation & Selection Criteria
Each FRM course has been selected based on the comprehensive coverage of risk management fundamentals and its alignment with the global FRM exam standards.
List of Online FRM Course & MOOCs:
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- via Bionic Turtle
- Structured Study Planner
- Active Community Forum | Question Sets | Interactive Quizzes | Focus Review Videos | Learning Spreadsheets
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- IMF (International Monetary Fund) via edX
- 42 hours of effort required
- 47,966+ already enrolled!
- Skill Level: Intermediate
- ★★★★★
This FRM course from edX will give all of the information needed to pass the FRM Certification Exam in just one go. The learner will acquire knowledge of different types of bonds, the calculation of bond yields and its comparison across the different types of instruments. Not only this, but they’ll also learn term structure of interest rates, fundamentals of a firm along with their application, and insights to an investors’ decisions etc. On the fulfilment of the course, the learner will be capable of; classifying different basic fix income securities, pricing the nature of financial assets, measuring, comparing different yield measures for the monetary asset, constructing an optimal portfolio of risky assets, calculating value at risk (VaR), Stressed VaR, and expected shortfall to asses market risks, and much more.
This FRM course overall works with the investigation of the basics of financiers that are fundamental for the financial backers and policymakers. This course will help you to get prepared for the practical aspects of the Financial Market. You will gain knowledge related to the perspective of a policymaker.
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- Columbia University via Coursera
- 37 hours of effort required
- 366,940+ already enrolled!
- ★★★★★ (2,259 Ratings)
This FRM course by Coursera is all about Financial Engineering and Risk Management. Through this course, the learner will gain knowledge about price derivative securities, fixed income, credit and mortgage-backed securities using simple stochastic models. This course also offers an interview with Emanuel Derman, the writer of “My Life as a Quant”. Studying this course will cultivate the learners mind with the understanding of asset allocation, portfolio optimization, applications of
financial engineering such as real options, commodity, energy derivatives and algorithmic trading. Furthermore, it will also polish the skills of pricing, financial modelling, financial risk and financial management.
A really well-designed course. I knew a few points before the course, and it assisted me with reinforcing my information on the subordinate market methodically, essentially on the pace of revenue subsidiaries (
Agil Z, ★★★★★).
The material is evident stated, the quantity and also the deepness of the course is substantial. The FRM course contents are extremely helpful. The spreadsheets can even use as a basis for observing modeling (Kolybina A, ★★★★★).
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- Duke University via Coursera
- 18 hours of effort required
- ★★★★★ (171 Ratings)
This FRM course from Coursera will teach the learner how to calculate the return of a portfolio regarding securities and quantify the market risk of that portfolio. This course offers the use of R programming language with Microsoft Open R and R Studio for the calculations of value at risk (VaR) and expected shortfall (ES). After the completion, of course, the learner will have all of the information regarding risk analysis, R programming, risk management, financial risk and portfolio (finance). The instructor will also be focusing on the topics of; introduction to R, data retrieval, return calculation, risk management under normal distributions, risk management under non-normal distributions, and risk management under volatility clustering.
It’s been an amazing journey in the field of financial risk management. This course has helped me to gain additional knowledge. I have improved my technical skills in the field of financial risk management. The course is really well done. Moreover, the professor makes complex aspects simple by providing really useful tips for your work (Brian C, ★★★★★).
FRM Course Part I (2021) via APNA Course [No more Available]
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- via APNA FRM Course
- 3,044+ already enrolled!
- 40+ Hours of Video Lectures
- 71+ Practise Tests With Solutions
- ★★★★★ (46 Ratings)
This course from Apna FRM Course covers entire syllabus prescribed by GARP 2021 exams. On committing to the course, the learners will be able to pass the FRM certification exams without a sweat. This course covers all of the essentials including the topics of financial markets and products. By the end of this course, the students will be confident enough to know what a quantitative analysis is, they’ll have in-depth knowledge about the foundations of risk management and how to use a financial calculator. It also includes a series of quizzes and mocks for the full preparation of the exam.
When talking about the world’s most highly valued accreditation for financial professionals, Financial Risk Manager (FRM is the one that is always preferred. In this course, you will learn to develop knowledge and expertise, enhance your reputation, and increase your job opportunities.
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- SOAS University of London via FutureLearn
- 8 hours of effort required
- ★★★★★
This FRM course from FutureLearn covers all features of risk management, including the latest change in the trends of financial management. Through this course, the learners will have an understanding of risk management, financial investment which includes; derivatives, stock and bonds, futures and options, hedging and speculation strategies. Not only this, the learners, will also enrich their minds with the understanding of measuring risk, monitoring risk, managing portfolios, calculating risk, calculating returns and applications of risk management etc. By the completion of this course, each individual will be confident enough to understand financial markets, the principles of risk management, types of risk, tools used by firms to manage risks and a lot more.
In the past, I took other courses on the subject, but this course really explains the basics. Now I understand the mechanisms behind the products as they can achieve the calculations (
Guys L, ★★★★★).
Such Compliance. Short field. It allows me to learn additional contributions from co-students to learn courses educators. More importantly, which started the additional readings. I started to have a good grip on the subject. Great supplement to my learning (Jude T, ★★★★★).
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- Adaptive Exam Planner & Personalized Study Schedule
- 30-45 Minute Bite-Sized Lessons
- Full-length Mock Exam
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- Study Notes and Video Lessons | Question Banks | Printable Mock Exams | Customizable Quizzes
- 25,000+ students already enrolled!
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- via Global Association of Risk Professionals (GARP), USA
- 50,000+ already enrolled!
- 600+ Industry experts
- ★★★★★ (3,248 Ratings)
This course by EduPristine prepares the students by offering real-life challenges, supporting the learners to apply the concepts in class for better preparation of FRM Certification Exam. This course will help the learners to have a grasp over the skills of risk management, trading, structuring, and modelling etc. Not only this they also focus on the foundations of risk management, quantitative analysis, financial markets, products, valuation and risk models ensuring that the students are fully prepared for every question of the exam. At the end of the course, each one of the students will have all of the skills needed to become a competent Financial Risk Manager.
This course will help you to build a strong conceptual foundation so that you can excel in the area of Finance and Risk Management. With the help of this course, you will be able to clear both, Part I and Part II exams of the FRM course with ease.
Understanding Financial Concepts [No more Available]
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- The Open University via FutureLearn
- 6 hours of effort required
- Skill Level: Introductory
- Course Type: Self-paced
This course by FutureLearn will be teaching the learners about the return on investment, raising equity finance, strategic investment process and mergers acquisition. Furthermore, they will be helping the student in understanding terms like risk and return more clearly, how companies use stock markets, they’ll also help in the evaluation of strategic investment estimate process, learn about the mergers and the acquisition market. On the achievement of this FRM course, every individual will be able to evaluate investment risk, describe equity markets, the methods associated in issuing equities and will know about the different types of M&A transactions etc.
Get prepared to learn about the wide scope of parts in the money business with a prologue to crucial monetary ideas. You will get a brief introduction to different financial arguments that are studied at the postgraduate level. So, prepare yourself to learn about risk and return, and how and why companies use stock markets. Moreover, you will also learn about the strategic investment appraisal processes.
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- Imperial College London via edX
- 13,145+ already enrolled!
- 40 hours of effort required
- Skill Level: Intermediate
This course by edX is about how environmental risks are being responded by the global capital markets. This FRM course is a reflection of how financial risk is arising from man-made climatic changes, and it also defines the financial risks related to climate change. By the end of this course, the learner will know about the investment policies, risk management strategies, will be capable of classifying climate change risk, will have concepts of physical risks and transition risks. They will also know about the trends in the development of climate-resilient investing and the sources of financing.
Would you like to know more about how a warming planet changed the landscape to invest? To experts who work in the financial business sectors, this FRM course offers a strong prologue to financial dangers and openings coming about because of the environmental change made by man. So, gear up your mind to learn about the causes of financing emerging within the private sector for new investments.
Checkout MOOC Options from Top Universities/Organizations in various domains