Logo

Have questions about your
learning journey? Get in touch.

Contact Us

Subscribe

Follow Us

Financial Risk Manager (FRM)

Decorative shape 3
Decorative shape 4
Decorative shape 5
Financial Risk Manager (FRM)
Post Graduate Diploma Course

Financial Risk Manager (FRM)

Boston School of Finance

Last Date for Admission:

Courses Descriptions

The Financial Risk Manager (FRM) designation, offered by the Global Association of Risk Professionals (GARP), is a globally recognized certification for professionals in risk management and financial analysis. The program provides in-depth knowledge and practical skills in risk identification, assessment, and mitigation across financial institutions, preparing candidates to manage market, credit, operational, and enterprise risks effectively.

What you'll Learn it?

  • Risk types, risk governance, and regulatory environment
  • Probability, statistics, regression, and time series analysis
  • Equities, fixed income, derivatives, and structured products
  • Value at Risk (VaR), stress testing, scenario analysis
  • Credit exposure, credit derivatives, and counterparty risk
  • Risk metrics, hedging, and portfolio management
  • Credit scoring, credit portfolio management, and credit risk mitigation
  • Operational risk, model risk, and enterprise risk management
Financial Risk Manager (FRM)

Courses Includes:

  • Price :₹ 1,55,000
  • Duration :10 Months
  • Seats :25
  • Certifications :Yes

Share On: