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    Frm Part 1 - Book 2 - Quantitative Analysis

    Posted By: Sigha
    Frm Part 1 - Book 2 - Quantitative Analysis

    Frm Part 1 - Book 2 - Quantitative Analysis
    MP4 | Video: h264, 1280x720 | Audio: AAC, 44.1 KHz
    Language: English (US) | Size: 4.59 GB | Duration: 9h 3m

    FRM Course by Prof. James Forjan

    What you'll learn
    FRM Part 1 - Book 2 - Quantitative Analysis

    Requirements
    No requirement

    Description
    In this detailed course, Prof. James Forjan, PhD, with his wealth of experience spanning over 25 years in teaching business at the college level, offers an in-depth summary of each chapter from the "Quantitative Analysis" book. This course is specifically tailored for candidates preparing for the FRM Part 1 exam, ensuring they grasp all the essential quantitative concepts needed for success in financial risk management.Starting with the 'Fundamentals of Probability', the course builds a solid foundation, essential for understanding more complex statistical concepts. It then progresses to 'Random Variables', exploring their nature and significance in quantitative analysis. This is followed by a thorough discussion on 'Common Univariate Random Variables' and 'Multivariate Random Variables', crucial for comprehending the dynamics of risk factors in finance.The course also covers 'Sample Moments', providing insights into how sample data can be used to infer population characteristics. 'Hypothesis Testing' is another critical chapter, teaching students to test assumptions and theories in a rigorous, statistical manner. Then, it delves into 'Linear Regression', a fundamental tool in financial modeling, followed by 'Regression with Multiple Explanatory Variables', which helps in understanding the relationships between various financial variables.'Regression Diagnostics' is included to ensure students can assess the validity and reliability of their regression models. The course also addresses time series analysis with chapters on 'Stationary Time Series' and 'Nonstationary Time Series', both of which are pivotal in financial data analysis, particularly in modeling and forecasting financial time series data.Additionally, the course covers 'Measuring Return, Volatility, and Correlation', essential for risk and portfolio management. Lastly, it includes advanced topics like 'Simulation and Bootstrapping', providing students with modern techniques used in risk modeling and decision-making under uncertainty.By integrating these chapters, Prof. Forjan’s course offers a comprehensive and practical approach to quantitative analysis, blending theoretical knowledge with real-world applications. This course not only prepares students for the FRM Part 1 exam but also equips them with the quantitative skills essential for a successful career in finance and risk management. The course's structure ensures a step-by-step learning process, making complex quantitative concepts accessible and understandable to all students, regardless of their prior level of expertise in the subject.This course includes the following chapters:1. Fundamentals of Probability2. Random Variables3. Common Univariate Random Variables4. Multivariate Random Variables5. Sample Moments6. Hypothesis Testing7. Linear Regression8. Regression with Multiple Explanatory Variables9. Regression Diagnostics10. Stationary Time Series11. Nonstationary Time Series12. Measuring Return, Volatility, and Correlation13. Simulation and Bootstrapping

    Who this course is for:
    FRM part 1 candidates


    Frm Part 1 - Book 2 - Quantitative Analysis


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