The FRM is focused on risk and test knowledge of topics such as Market Risk, Operational Risk, Integrated Risk Management, Valuation, Risk Models & Investment Risk Management.
The FRM is focused on risk and test knowledge of topics such as Market Risk, Operational Risk, Integrated Risk Management, Valuation, Risk Models & Investment Risk Management.
Obtain the prestigious FinExpert title and crack into premium careers of Investment Banking, Equity Research, Portfolio Management & Venture Capital through our Industry renowned flagship programs.
FRM® – Financial Risk Manager Recognized in every major market, the FRM is the leading certification for risk managers. It is consistently in demand by nearly every major bank and firm in the world, and is awarded only to professionals who demonstrate the knowledge and ability to anticipate.
FRM stands for Financial Risk Manager and is the only course that covers all the aspects of Risk Management in depth. Financial Risk Manager designation is offered by the GARP, Global Association of Risk Professionals.
It takes candidate a minimum 1 year to complete both the exams of the course. Candidates can appear for the part 1 and part 2 exams in May and November.
For more than 25 years, the Financial Risk Manager (FRM®) designation has set the global standard for risk management. Achieving the FRM demonstrates a mastery of the skills and knowledge needed to effectively identify, analyse, and respond to a company’s risk factors.
FRM course is offered by CFA FRM Training for all skill level. Depending on the candidate's dedication and focus, it takes minimum 1 year to complete both the exams of the FRM course.
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