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FRM Coaching in Delhi

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Program Highlights

Here are a few features of our coaching which will help you breeze through FRM preparation in Delhi.

200+ Hours Videos

200+ Hours Videos

Revision & Backup Classes

Revision & Backup Classes

Relevant Industry Updates

Relevant Industry Updates

Exhaustive Question Bank

Exhaustive Question Bank

Unlimited Doubt Sessions

Unlimited Doubt Sessions

Case Study Approach

Case Study Approach

10+

Other Features

What Makes Us The Best?

Below are a few key points that make us a preferred choice amongst students for FRM Coaching in Delhi.

Highly Credible Trainers

Our trainers are FRMs themselves and have experience in Risk Management, Credit Risk Modeling and Portfolio Risk.

Application Based Learning

We have designed training session in such a way that there is ZERO rote learning or mugging of formulae.

Exhaustive Preparation

We’ll deliver 100% practice questions in the Live class itself and Live revision classes a month before exam

High Pass Percentage

Out of the candidates who have taken FRM Coaching through us, roughly 92% managed to clear the exam.

FRM Coaching Curriculum

Our curriculum is thorough and highly oriented to the FRM Examination.

How do we cover the syllabus efficiently?

Foundations of Risk Management

Weightage – 20% (FRM Part 1)

  • This module helps us learn how do businesses manage their risks, the tools they use to transfer risks.
  • It aims to develop our understanding of various risk and returns models
  • The module presents various case studies on risk management from recent financial disasters specifically 2007-2009 crisis.
  • Lastly there is a reading on GARP code of conduct
Quantitative Analysis

Weightage – 20% (FRM Part 1)

  • This module helps you to develop foundation of risk management through basics of statistics
  • It covers basic topics like fundamentals of probability, random variable and some advance topics like Hypothesis testing and its application in risk management, Linear & Multiple Regression, Stationery and non-stationery time series analysis etc.
  • Focus of this module is to develop in depth understanding of various types of distributions like Normal, Log normal, chi-squared, beta and their uses in risk management
Financial Markets & products

Weightage – 20% (FRM Part 1)

  • The first part of this section focuses informing candidates about banks/ Insurance companies & funds and second part focuses of derivative instruments.
  • Derivatives part of this section cover topics like Exchanges and OTC markets, Central clearing, Pricing Forex, futures and option instruments, various options trading strategies, exotic options, Swaps etc.
Valuation and Risk Models

Weightage – 30%  (FRM Part 1)

  • Measures of financial risk – Value at risk (VaR) and its application into risk Management.
  • Measuring and estimating volatility (GARCH model).
  • Measuring credit risk: – Vasicek model, Creditmetrics, Gaussian copula model
  • Fixed Income security: – Interest rates, Duration, convexity, parallel and non-parallel. structure shifts and hedging.
  • Options pricing: – Binomial tree, Black-Scholes Merton, Option Greeks.

 

Market Risk Measurement and Management

Weightage – 20% (FRM Part 2)

  • Risk measures: Parametric non parametric estimation of Var, Extreme value theory (EVT), Back testing VaR, Estimated shortfall.
  • Term structure models of Interest rates (Shape, drift, volatility & distribution).
  • Correlation and its behaviour on real world.
  • Volatility smiles & term structure.
Liquidity and Treasury Risk Management

Weightage – 20% (FRM Part 2)

  • For banks and financial institutions, liquidity is one of the most essential resources. This module discusses the sources and uses of liquidity, ways using which banks can manage liquidity, Cash flow modelling, cross-currency funding etc.
  • Other part of module focuses on banks’ Balance sheet management
Operational Risk & Resiliency

Weightage – 20% (FRM Part 2)

  • This module majorly discusses small-small aspects of operational risk and how and enterprises can develop resilience against those operational risk.
  • The other part of this module discusses evolution of Basel norms over years.
  • Barring few handful chapters, most on the chapters are text heavy.
Risk and Investment Management

Weightage – 15% (FRM Part 2)

  • This module covers topics like Factor theory, Optimal Portfolio construction given investment constraints, portfolio risk management and measurement, risk monitoring and performance measurement, risk budgeting and hedge funds.
  • Module is formula heavy and involves lots of calculations.
Current Issues in Financial Markets

Weightage – 10% (FRM Part 2)

  • This module focuses on current issues that have strong impact on financial markets like use of AI and ML uses in financial markets, threats of cyber-attacks on financial systems, transition from reference rate regime to overnight risk free rate, Covid-19 impact on markets, disasters due to climate changes and its impacts on financial institutions.
Credit Risk Measurement and Management

Weightage – 20% (FRM Part 2)

  • This module focuses on developing understanding credit risks of banks.
  • One part of this module focuses capital structure of banks, how credit ratings are assigned, portfolio credit risk, credits spreads and spread risks and credit risk management using Credit Var.
  • Second part of this module focuses Counter party risk management, Credit value adjustment (CVA), stress testing of counter party risk, retail credit risk and credit scoring.
  • Third part of this module focuses credit risk transfer mechanism like securitization and credit derivatives.

QuintEdge Vs Others

Unlock unparalleled advantages with Quintedge
Where we go the extra mile in FRM prep unlike any other

Offering

Others

24/7 Peer and Tutor Forums for immediate query resolution

Exclusive industry insights with current market trends

Continuous course updates, ensuring current content relevancy

Pass Assurance for FRM Prep Course Students

Full Length Mock FRM Tests with ‘Near’ Exam Level Difficulty

Access to global finance job boards & internship opportunities

VIP guest lectures from top-tier finance professionals

Scholarship & Registration Guidance fro FRM Students

Dedicated FRM Exam Faculty for last-minute doubt solving

Dedicated post-exam debrief sessions and improvement strategies

Discover The Seamless Learning Experience

Our Platform's Features

Know Your Timeline

How to become an FRM Holder?

Charting Your Path to FRM Success: A Step-by-Step Journey with Quintedge

Our FRM Faculty

Learn from the Industry Leading Trainers

With years of experince under the belt, our faculties are best of the both worlds – 
Academia and Corporate

3
CA Yash Jain FRM Charterholder
Trained 5,000+ Students
Untitled design (12)
Sandesh Banger IIM Kozhikode
Ex-AVP, RBL Bank
5
Ankita Agarwal MBA (Fin), CFA
15+ Years of Experience
WHAT WE ACHIEVED

Our Awesome Past Records

Over the years, our students’ satisfaction and the success rate are worth an eyeball.

Batches Taken

Countries

Pass Rate

FRM Students

FRM Testimonials

From the Past Candidates

Read on to know what our students have to say

FRM Scope, Salaries & Opportunities

Let’s get to know how this qualification can shape your future and career.

Recognition

FRM is recognised as the most comprehensive course on risk management and thus well respected in Finance fraternity.

Job Profiles

FRM Charter holder works in domain like portfolio management, credit risk modelling, research, consultancy, etc.

Median Salary

Initial median salary of FRM charter in Indian is between Rs. 8.00 Lakhs to Rs. 12.00 Lakhs per annum

Choose a Preparation Plan that’s right for you

FRM Part I

29,000

FRM Part II

31,000

FRM Part I

25,000 Onwards

FRM Part II

27,000 Onwards

Have Doubts?

Know More About FRM Exam

Unlock insights into the Financial Risk Manager® designation – the gold standard in Risk Management

Frequently Asked Questions

Here are a few questions which our students ask every now and then. We have collated them all.

How to register for Quintedge’s FRM Coaching in Delhi?

To register for our FRM Coaching in Delhi, you can call up our counsellors and they will guide you with the registration process.

What’s the total duration of Quintedge’s FRM coaching in Delhi?

There will be 35 classes of 3 hours each in the Live course, amounting to roughly 105 hours of training.

What is the eligibility for taking up FRM Coaching with Quintedge?

There is no specific eligibility. However, we recommend you to complete High School before enrolling for FRM Coaching.

What kind of Job profiles can I target after becoming an FRM?

After you become an FRM Charterholder, you can get into profiles such as Risk Modeling, Credit Risk, Portfolio Management etc.

Still have questions?

If you can’t find answers to your questions in our FAQ section, you can always contact us. We will get back to you shortly.

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Upcoming Batches

Course Class Mode Start Date
CFA Level 1 Live Online Classes 11th December 2023
FRM Part 1 Live Online Classes 9th December 2023
Investment Banking Live Online Classes To Be Announced

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