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Master advanced FRM Part I concepts through this 27-minute mock exam tutorial covering questions 31-40 from Mock Exam #3. Work through challenging exam-style problems with step-by-step solutions covering t-tests and degrees of freedom, famous risk management case studies including Metallgesellschaft and Barings Bank, interest-rate swap cash flow calculations, protective put strategies, margin call mechanics, Sortino ratio computations, GARP Code of Conduct consequences, conflict-of-interest consent procedures, covariance stationarity in time series analysis, and effective duration calculations. Strengthen your quantitative methods, derivatives, fixed income, statistics, time series analysis, ethics, and portfolio management knowledge while practicing with realistic exam scenarios designed to prepare you for the actual FRM Part I examination.
Syllabus
Mock Exam #3 – Questions 31-40 | FRM Part I Exam Preparation | AnalystPrep
Taught by
AnalystPrep