The Global Association for Risk Professionals, or GARP, offers the FRM (Financial Risk Manager) examination globally. The FRM certification establishes that an individual possesses the body of knowledge necessary for independent risk management analysis and decision-making. The 2003 exam, given in November, covers the topics outlined below and is weighted as follows:
  • Quantitative Analysis 10%
  • Market Risk Measurement and Management 30%
  • Credit Risk Measurement and Management 25%
  • Operational and Integrated Risk Management 20%
  • Legal, Accounting and Ethics 15%
Contact GFMI and one of our subject matter experts will work with you to customize your training.
 

 

 

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