Complete the comprehensive derivatives certification exam from NYIF covering futures, swaps, and options in this self-paced assessment.
Complete the comprehensive derivatives certification exam from NYIF covering futures, swaps, and options in this self-paced assessment.
Enhance your financial expertise with the Derivatives Professional Certificate Examination from NYIF. This comprehensive assessment evaluates your understanding of key derivatives concepts including forwards, futures, swaps, FX derivatives, and options contracts. The 60-minute exam consists of 30 questions, requiring a minimum 70% score for certification. Designed for finance professionals seeking to validate their derivatives knowledge, this examination serves as the final step in earning a prestigious NYIF professional certificate.
Instructors:
English
English
What you'll learn
Demonstrate comprehensive knowledge of derivatives markets
Analyze various types of derivative instruments
Understand options pricing and trading strategies
Apply knowledge of swaps and futures contracts
Master concepts of Greeks and volatility
Skills you'll gain
This course includes:
PreRecorded video
30 questions final exam
Access on Mobile, Tablet, Desktop
Limited Access access
Shareable certificate
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Module Description
This professional certification examination comprehensively assesses knowledge in derivatives trading and markets. The exam covers essential topics including forwards and futures contracts, swap fundamentals, FX market derivatives, cross-currency swaps, credit derivatives, options contracts, trading strategies, pricing models, Greeks, American options, and volatility analysis. Successful completion validates expertise in derivatives trading and risk management.
Instructor
NYIF Instructor Specializing in Portfolio Risk Management and Derivatives
Jack Farmer is an instructor at the New York Institute of Finance (NYIF), where he specializes in training and consulting solutions for portfolio risk management, foreign exchange (FX) and interest rate derivatives, equity index and volatility trading, as well as financial statement analysis and hedge accounting. He holds a BS in Engineering and an MBA in Finance and Accounting from Tulane University, and is currently pursuing a PhD in Finance from the University of Texas at Austin. Jack's extensive expertise enables him to effectively educate students on complex financial concepts and risk management strategies.
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