FRM二级考试共有6个考试科目,每个科目的内容都是不同的,今天为大家介绍一下Operational Risk and Resiliency的内容有什么?

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Operational Risk and Resiliency | 20%

This area addresses a candidate’s knowledge of two areas of increasing importance for many firms — operational risk management and operational resilience in the face of changing market conditions. This includes:

• Principles for sound operational risk management

• Risk appetite frameworks and enterprise risk management

• Risk culture and conduct

• Analyzing and reporting operational loss data

• Model risk and model validation

• Risk-adjusted return on capital (RAROC)

• Economic capital frameworks and capital planning

• Stress testing banks

• Third-party outsourcing risk

• Risks related to money laundering and financing of terrorism

• Regulation and the Basel Accords

• Cyber risk and cyber resilience

• Operational resilience

这一领域涉及候选人对许多公司日益重要的两个领域的知识——面对不断变化的市场条件,操作风险管理和操作弹性。这包括:

•健全运营风险管理的原则

•风险偏好框架和企业风险管理

•风险文化和行为

•分析和报告运营损失数据

•模型风险和模型验证

•风险调整资本回报率(RAROC)

•经济资本框架和资本规划

•压力测试银行

•第三方外包风险

•与洗钱和资助恐怖主义有关的风险

•监管和巴塞尔协议

•网络风险和网络弹性

•运营弹性

今天的分享就到这里,如果对2022年FRM备考、课程需求、资料等还有需要或不清楚的问题添加老师微信rongyuejiaoyu。