Statements (65)
Predicate | Object |
---|---|
gptkbp:instance_of |
gptkb:Risk_Management
|
gptkbp:certification |
gptkb:Global_Association_of_Risk_Professionals
|
gptkbp:effective_date |
two years
|
gptkbp:focuses_on |
Risk management
|
https://www.w3.org/2000/01/rdf-schema#label |
Man FRM
|
gptkbp:includes_exams_on |
Market risk
Credit risk Operational risk |
gptkbp:is_available_in |
Multiple languages
|
gptkbp:is_considered |
A prestigious certification
|
gptkbp:is_part_of |
Professional certification programs
Risk management profession |
gptkbp:is_pursued_by |
Finance professionals
|
gptkbp:is_recognized_by |
Employers
Global finance industry |
gptkbp:is_related_to |
gptkb:Crisis_management
gptkb:Compliance_Management gptkb:Asset_Management Data analysis Derivatives Portfolio management Financial stability Financial technology Stakeholder engagement Liquidity risk Risk assessment Risk tolerance Financial analysis Financial reporting Regulatory compliance Financial crises Financial modeling Quantitative finance Market analysis Stress testing Market volatility Business continuity planning Investment strategies Investment risk Counterparty risk Risk mitigation Scenario analysis Performance measurement Financial regulations Risk appetite Credit analysis Financial instruments Hedging strategies Risk-adjusted returns Operational resilience Economic capital Enterprise risk management Risk reporting Risk culture Risk governance |
gptkbp:is_studied_in |
Students in finance
|
gptkbp:provides_access_to |
gptkb:GARP
|
gptkbp:provides_opportunities_for |
Risk managers
|
gptkbp:skills |
Financial markets
Investment management Regulatory environment Quantitative analysis Risk modeling |
gptkbp:bfsParent |
gptkb:Man_Group
|
gptkbp:bfsLayer |
5
|