FRM Level-1 Course
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FRM Level-1 Course Highlights

FRM Level-1 Course Overview
FRM® course is a globally recognized professional certification for banking and finance professionals administered by Global Association of Risk Professionals® (GARP®, USA).Prime Video Lectures’ FRM® course training enables candidates to build a strong conceptual clarity that helps them excel in the area of and Risk Management, Portfolio Management and Finance
Financial Risk Managers hold the expertise and are committed to better risk management practices, thus standing apart in their respective organizations. GARP® provides the FRM® course in 195 countries and territories and has over 279,000 Members. GARP® offers Continuing Professional Development (CPD) program for risk professionals to access the latest updates in risk education
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FRM Level-1 Course Eligibility
FRM Level-1 Course Curriculum

Level 1 Curriculum
- Probability Theory: Fundamental concepts of probability and their applications in risk management.
- Statistical Inference: Hypothesis testing, confidence intervals, and applications in finance.
- Regression Analysis: Understanding and applying linear regression models to financial data.
- Time Series Analysis: Basics of time series modeling and forecasting techniques.
- Monte Carlo Simulation: Techniques for simulating risk and evaluating outcomes in uncertain environments.
- Basic Concepts of Risk Management: Understanding the role and importance of risk management in financial institutions.
- Risk Management Frameworks: Overview of frameworks and standards used in risk management.
- Corporate Governance: The relationship between risk management and corporate governance.
- It’s one of the most complex and voluminous sections. It stands at a whooping weight of 30%. As the name suggests, this section helps to understand the basics of Financial market instruments like future, forward, equity options, swaps and fixed Income.
- This section does not talk much about equity but delves in the discussion of the derivative products on equity and other instruments.
- Candidates need to understand the pricing, payoffs and features of the financial instruments properly to score well in this section.
- Valuation of Derivatives: Introduction to pricing models for options and other derivatives, including the Black-Scholes model.
- Value at Risk (VaR): Concepts and calculation of VaR, including historical, parametric, and Monte Carlo approaches.
- Stress Testing: Techniques for assessing the impact of extreme market conditions on portfolios.
- Credit Risk Models: Basic credit risk modeling techniques, including structural and reduced-form models.
- Risk Measures: Understanding and application of different risk measures, including expected shortfall and scenario analysis
Prime Video Lectures FRM Level-1 Course
Experienced Professionals
Ganesh Nayak is the founder started Swapnil Patni’s Classes – SPC, and also a well-known faculty. With a strong academic and professional background, he teaches subjects like EIS-SM, FMSM. In December 2010 he started SPC in Pune to help students prepare for CA exams. Over the last 12 years SPC has become one of the leading coaching center and offers classes in 160 cities across India – both online and in-person.
Ganesh Nayak focuses on creating effective teaching methods that fit the CA curriculum. He has guided 130 students to achieve All India Ranks – AIR, including some who reached the top rank. His teaching is designed to make learning easy and accessible, with options like online video lectures and pendrive classes. While his main focus is teaching, Ganesh Nayak uses his industry experience to bring real-world knowledge to his students. His dedication to high-quality education has helped many students succeed in their CA exams, and his impact is seen in the large number of students and followers he has.

FAQ
- To earn the FRM Certification, you must complete the following steps:
- Successfully clear the FRM Exam Part I.
- Pass the FRM Exam Part II by the end of the fourth year after passing FRM Part I.
- Provide evidence of two years of full-time work experience in a relevant financial risk management role.
FRM Level I focuses on understanding of risk and financial risk. It covers:
- Foundations of risk management concepts
- Quantitative analysis
- Financial markets and products
- Valuation and risk models
- Before enrolling in the FRM Program, no specific educational or professional prerequisites are required. You can register for the program without needing any specific qualifications or prior experience.
The amount of time required to prepare for the FRM (Financial Risk Manager) examination can vary significantly from person to person based on factors such as your background knowledge, experience, study habits, and familiarity with the material.
However, GARP (Global Association of Risk Professionals) recommends that candidates devote approximately 200-240 hours of study time for each part of the FRM Exam. This is a rough guideline and the actual time needed may vary.
Keep in mind that the FRM Exam covers a comprehensive range of topics related to financial risk management, including quantitative analysis, risk management foundations, risk modeling, market risk, credit risk, operational risk, and more. It’s important to allocate sufficient time for both reviewing the study materials and practicing with mock exams and practice questions to ensure a thorough understanding of the concepts and a successful exam outcome.