通過對FRM知識的學習,成為FRM持證人,對于企業(yè)財務風險管理是有很大作用的。學習之后,能收獲哪些呢?>>>點擊領(lǐng)取2021年FRM備考資料大禮包(戳我免·費領(lǐng)取)

2021FRM備考資料大禮包

After completing this reading, you should be able to:

? Compare different strategies a firm can use to manage its risk exposures and explain situations in which a firm would want to use each strategy.

? Explain the relationship between risk appetite and a firm’s risk management decisions.

? Evaluate some advantages and disadvantages of hedging risk exposures and explain challenges that can arise when implementing a hedging strategy.

? Apply appropriate methods to hedge operational and financial risks, including pricing, foreign currency, and interest rate risk.

? Assess the impact of risk management tools and instruments, including risk limits and derivatives.【資料下載】[GARP]2021年FRM一二級學習指南(Study Guide)

翻譯為:完成閱讀后,您應該能夠:

FRM網(wǎng)課

?比較企業(yè)管理其風險敞口的不同策略,并解釋公司會想使用每種策略。

?解釋風險偏好與公司風險管理決策之間的關(guān)系。

?評估對沖風險敞口的一些優(yōu)勢和劣勢,并解釋可能出現(xiàn)的挑戰(zhàn)在實施對沖策略時。

?采用適當?shù)姆椒▽_運營和財務風險,包括定價、外幣和利率風險。

?評估風險管理工具和工具的影響,包括風險限額和衍生工具。