students

Recognized in every major market, the FRM is the leading designation for risk managers. It is consistently in demand by nearly every major bank and firm in the world.  The Global Association of Risk Professionals (GARP) confers the FRM designation which is a risk designation and is considered the highest distinction in the risk profession.

Need an invoice? Email This email address is being protected from spambots. You need JavaScript enabled to view it. or complete the form on this page


FRM Part I:

Option 1: Online program R8 000.00

  • Comprehensive edge notes (in PDF format)
  • Online recorded videos (in YouTube format)
  • Formula sheet
  • Edge intuitive question bank.

Option 2: Revision and Exam program: R3 500.00

  • Comprehensive edge revision notes (in PDF format)
  • Revision videos (in YouTube format)
  • Formula sheet
  • One full practice exam on our new platform.

FRM Part II:

Option 1: Online program R8 000.00

  • Comprehensive edge notes (in PDF format)
  • Online recorded videos (in YouTube format)
  • Formula sheet
  • Edge intuitive question bank.

Option 2: Revision and Exam program: R3 500.00

  • Comprehensive edge revision notes (in PDF format)
  • Revision videos (in YouTube format)
  • Formula sheet
  • One full practice exam on our new platform.

FRM I - Introduction

 

FRM II - Introduction

About FRM:
The FRM program is divided into two parts, each covering specific aspects of risk management.

FRM Part I:
Focus: Foundations of risk management, quantitative analysis, financial markets and products, and valuation and risk models.
Topics: Foundations of Risk Management, Quantitative Analysis, Financial Markets and Products, and Valuation and Risk Models.
Exam Format: Multiple-choice questions.

FRM Part II:
Focus: Advanced topics in risk management, including market risk, credit risk, operational risk, risk management and investment management, and current issues in financial markets.
Topics: Market Risk Measurement and Management, Credit Risk Measurement and Management, Operational and Integrated Risk Management, Risk Management and Investment Management, and Current Issues in Financial Markets.
Exam Format: Item set questions (case studies).

Benefits of Studying FRM:

1. Specialized Expertise: The FRM program provides in-depth knowledge and skills in the field of financial risk management, allowing professionals to specialize in risk-related roles.

2. Global Recognition: The FRM designation is globally recognized and respected, signifying expertise in assessing and managing financial risks.

3. Career Advancement: FRM certification enhances career opportunities in risk management, asset management, hedge funds, and other finance-related fields.

4. Comprehensive Curriculum: The program covers a wide range of risk management topics, ensuring a thorough understanding of both foundational and advanced risk concepts.

5. Practical Application: The FRM curriculum emphasizes the practical application of risk management principles, preparing candidates to address real-world challenges.

6. Networking Opportunities: GARP provides a platform for FRM candidates and charterholders to connect with other risk professionals, fostering networking and knowledge-sharing.

7. Continuous Learning: FRM charterholders are required to engage in ongoing professional development, ensuring they stay current with evolving risk management practices.

8. Risk-Adjusted Decision Making: The FRM program equips individuals with the skills to make informed, risk-adjusted decisions in complex financial environments.

9. International Financial Markets Focus: The FRM program is particularly relevant for professionals dealing with international financial markets, as it covers a broad spectrum of risks in a global context.

Overall, the FRM designation is well-suited for individuals seeking to specialize in risk management roles, providing a comprehensive and globally recognized credential in the field.

Powered by

Logo edgedesignations2

The Financial Data Professional (FDP) program is designed for finance professionals who specialize in managing, analyzing, and utilizing financial data. 

Need an invoice? Email This email address is being protected from spambots. You need JavaScript enabled to view it. or complete the form on this page

FDP® Offerings:

Option 1: Revision and Exam program: R8 000.00

  • Comprehensive revision notes (in PDF format)
  • Revision videos (in YouTube format)
  • Formula sheet
  • One full practice exam on our new platform.

Option 2: Exam program:R3 500.00

  • One full practice exam on our new platform

FDP - Introduction

 

Benefits of Studying FDP:

1. Specialized Expertise: The FDP designation demonstrates specialized expertise in financial data management, making professionals stand out in the finance industry.

2. Career Advancement: Completing the FDP program enhances career opportunities in roles related to financial analysis, risk management, data science, and financial technology.

3. Global Recognition: The FDP designation is recognized internationally, providing a standardized measure of proficiency in financial data management.

4. Adaptability to Industry Changes: FDP professionals are well-equipped to navigate the evolving landscape of financial technology and data analytics, staying relevant in an industry that continually embraces technological advancements.

5. Networking Opportunities: The FDP program provides a platform for networking with other finance professionals, fostering collaboration and knowledge exchange.

6. Informed Decision-Making: Skills acquired in the FDP program enable professionals to make data-driven decisions, enhancing the quality of financial analysis and risk management strategies.

7. Value to Employers: Employers benefit from having FDP professionals on their teams, as they possess the knowledge and skills needed to leverage financial data for strategic decision-making.

Powered by 

Logo edgedesignations2

The Chartered Alternative Investment Analyst (CAIA) program is a globally recognized certification specifically designed for professionals in the alternative investments industry. It consists of two levels, each covering different aspects of alternative investments.

Need an invoice? Email This email address is being protected from spambots. You need JavaScript enabled to view it. or complete the form on this page

CAIA Level I:

Option 1: Online program R8 000.00

  • Comprehensive edge notes (in PDF format)
  • Online recorded videos (in YouTube format)
  • Formula sheet
  • Edge intuitive question bank.

Option 2: Revision and Exam program: R3 500.00

  • Comprehensive edge revision notes (in PDF format)
  • Revision videos (in YouTube format)
  • Formula sheet
  • One full practice exam on our new platform.

CAIA Level II:

Option 1: Online program R8 000.00

  • Comprehensive edge notes (in PDF format)
  • Online recorded videos (in YouTube format)
  • Formula sheet
  • Edge intuitive question bank.

Option 2: Revision and Exam program: R3 500.00

  • Comprehensive edge revision notes (in PDF format)
  • Revision videos (in YouTube format)
  • Formula sheet
  • One full practice exam on our new platform.

CAIA LI - Introduction

 

CAIA LII - Introduction

 

About CAIA:

CAIA Level I:

Focus: Foundational knowledge in alternative investments.

Topics: Professional Standards and Ethics, Introduction to Alternative Investments, Real Assets (e.g., real estate, commodities), Hedge Funds, Private Equity, Structured Products, and Risk Management and Portfolio Management.

Exam Format: Multiple-choice questions.

CAIA Level II:

Focus: Advanced topics and application of knowledge gained in Level I.

Topics: Professional Standards and Ethics, Advanced Concepts in Alternative Investments, Real Assets, Hedge Funds, Private Equity, Structured Products, Risk Management and Portfolio Management, and Current and Integrated Topics.

Exam Format: Multiple-choice questions and constructed response (essay) questions.

Benefits of Studying CAIA:

1. Specialized Expertise: CAIA certification signifies specialized expertise in alternative investments, which include hedge funds, private equity, real assets, and more.

2. Global Recognition: The CAIA designation is recognized globally, enhancing career opportunities in the international alternative investments market.

3. Career Advancement: CAIA certification is particularly valuable for professionals aspiring to work in roles related to asset management, risk management, and portfolio construction in the alternative investments space.

4. Comprehensive Curriculum: The program covers a comprehensive range of topics, providing a deep understanding of various alternative investment strategies and their applications.

5. Networking Opportunities: CAIA Institute provides a platform for professionals to connect, share insights, and expand their professional network within the alternative investments industry.

6. Emphasis on Ethics: The CAIA program places a strong emphasis on ethical considerations, ensuring that certified professionals adhere to high standards of integrity in the alternative investments field.

7. Real-world Application: The curriculum is designed to be practical, allowing candidates to apply their knowledge to real-world scenarios and investment decision-making.

8. Demonstrated Commitment: Completing the CAIA program demonstrates a commitment to continuous learning and professional development in the dynamic field of alternative investments.

9. Adaptability: CAIA professionals are well-equipped to navigate the evolving landscape of alternative investments and adapt to changing market conditions.

10. Informed Decision-Making: The program equips candidates with the skills to make informed investment decisions by understanding the nuances of various alternative asset classes.

Powered by

Logo edgedesignations2