Financial Risk Manager (FRM)
GPTKB entity
Statements (56)
Predicate | Object |
---|---|
gptkbp:instance_of |
gptkb:Certification
|
gptkbp:admission |
varies by year
|
gptkbp:awarded_by |
Global Association of Risk Professionals (GARP)
|
gptkbp:certification |
gptkb:Professional_Risk_Manager_(PRM)
gptkb:Chartered_Financial_Analyst_(CFA) yes Financial Risk Manager (FRM) Part II |
gptkbp:clinical_trial |
twice a year
4 hours per exam |
gptkbp:continuing_education_requirement |
20 credits every two years
|
gptkbp:effective_date |
no expiration
|
gptkbp:exam_topics |
English
financial markets case studies ethical considerations multiple choice stress testing regulatory environment credit derivatives risk management principles risk assessment methodologies liquidity risk risk modeling techniques portfolio management strategies market risk models risk measurement and management |
gptkbp:first_introduced |
gptkb:1997
|
gptkbp:focuses_on |
risk management
|
gptkbp:geographical_recognition |
global
|
gptkbp:has_role |
gptkb:Analysts
portfolio manager risk manager compliance officer risk analyst chief risk officer credit risk manager market risk manager quantitative analyst |
https://www.w3.org/2000/01/rdf-schema#label |
Financial Risk Manager (FRM)
|
gptkbp:industry_demand |
high
|
gptkbp:material |
third-party resources
GARP provided materials |
gptkbp:network |
yes
|
gptkbp:notable_nominees |
over 50,000
|
gptkbp:produces |
6 months to 1 year
|
gptkbp:recognition |
yes
|
gptkbp:requires |
passing two exams
|
gptkbp:salary_impact |
potentially higher salary
|
gptkbp:target_audience |
finance professionals
|
gptkbp:topics |
risk management frameworks
credit risk financial instruments market risk operational risk |
gptkbp:bfsParent |
gptkb:Chartered_Financial_Analyst_(CFA)
|
gptkbp:bfsLayer |
6
|