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We at MidhaFin, focus on striking a careful balance, between Knowledge and Relevance, between theory and analytics & between pure concepts and practical application.
Popular Courses
FRM Part 1
FRM Part 2
Through strategy, hardwork, and planning, we have achieved the success rate which stands second to none!
Success rate for
FRM Level-I
Success rate for
FRM Level-II
Success rate for
FRM Level-I
Success rate for
FRM Level-II
MidhaFin's FRM coaching in Bangalore stands out for its comprehensive curriculum, experienced faculty, interactive teaching methodology, and strong focus on practice and assessment. By choosing MidhaFin, students not only prepare for the FRM exams but also gain valuable knowledge and skills that are essential for a successful career in financial risk management. The institute's commitment to student success and continuous support ensures that each candidate is well-equipped to achieve their certification and professional goals.
FRM part - 1: Modules and the respective weightages
This module lays the groundwork for understanding key concepts and principles in risk management.
Focusing on quantitative techniques, this module assesses candidates' ability to analyze and interpret data for risk management purposes.
Exploring the intricacies of financial markets and various financial instruments, this module evaluates candidates' knowledge of market structures and products.
This module delves into the valuation of financial instruments and the application of risk models in assessing and managing risk.
FRM part - 2: Modules and the respective weightages
This module is designed to impart fundamental knowledge of the basis of risk management. It introduces the principles and process of risk management.
This module is dedicated to assessing and managing the risk of default by borrowers or counterparties.
This module attempts to provide a detailed overview of various financial instruments including derivatives, securities, and structured products.
This module equips financial institutions with tools to recognize, quantify, and manage liquidity risks.
This module revisits some content from FRM Part 1 and introduces additional conceptual, numerical, and theoretical chapters.
This module focuses on significant topics with a substantial impact on financial markets.