Measure, Monitor and Mitigate Market Risks
The Financial Markets Risk Management Course (FRM) teaches students about derivatives techniques and instruments used today in financial risk management. Upon completion, you'll acquire the tools necessary to identify, measure, monitor and mitigate financial risk.
- Take a Step Towards Your Certificate in Derivatives Market Strategies
- The FRM is a qualifying elective toward earning your Certificate in Derivatives Market Strategies
Who Should Enrol
Enrol in the FRM if you're:
- A retail investment advisor on track for your Certificate in Derivatives Market Strategies
- Working toward a career in treasury management
- Working in risk management at a financial services firm