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Practice advanced FRM Part I concepts through this mock exam video covering questions 81-90 with detailed step-by-step solutions. Work through complex exam-style problems including statistical analysis with t-tests and degrees of freedom, historical risk management case studies from 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 measurements. Master quantitative methods, derivatives pricing, fixed income analytics, statistical concepts, time series modeling, professional ethics, portfolio management techniques, and options strategies essential for the Financial Risk Manager certification exam through this comprehensive practice session from a GARP-approved preparation provider.
Syllabus
Mock Exam #3 – Questions 81-90 | FRM Part I Exam Preparation | AnalystPrep
Taught by
AnalystPrep