This course covers financial risk management topics aligned with FRM standards, focusing on various financial risks, risk measurement and management techniques, and strategies to mitigate risks in financial institutions.
Objectives
Understand types of financial risks and their techniques.
Learn tools for measuring and managing financial risks.
Develop strategies to minimize risks in financial institutions.
Apply FRM concepts in risk analysis.
Prepare for the FRM certification exams.
Topics
Introduction to FRM certification and financial risk types.