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