Manhattan Institute of Management (NY, NY)

LOCATION
25 BROADWAY, NEW YORK, 10004

TEACHING FORMAT
Both (In person and online)

OVERVIEW

The Manhattan Institute of Management was founded as a non-profit organization in 1984 by a group of prominent international corporate executives and entrepreneurs. MIM has a long record of educational innovation, integrating cutting-edge business practices with traditional business curricula.

The Manhattan Institute of Management is a private higher learning institution committed to offering students a high quality, global business education. MIM offers our students a real opportunity to gain insight into the meaning of business success, in New York and around the world. In the past 26 years, over 5,000 students from almost every country on earth have stepped through the gates of MIM's downtown Manhattan main campus.

ADDITIONAL DETAILS

(More specific details on your course offering here, such as number of hours, methodology, content, facilities, instructors etc.).

FINANCIAL RISK MANAGER CERTIFICATE PROGRAM ( FRM )

FRM Program has two exams: Part I and II

From the FRM study guide we have the following breakdown:
Part I includes the following topics:
Foundation of Risk Management, Quantitative Analysis, Financial Markets and Products Valuation and Risk Models.
Part II includes the following topics:

Market Risk Measurement and Management, Credit Risk Measurement and Management, Operational and Integrated Risk management, Risk Management and Investment Management, Current Issues in Financial Markets.

FRM Part I

 

Courses

Core/Electives

 

 

 

1

Quantitative Methods

core

2

Financial Markets, Institutions and Securities

core

3

Risk Management I (foundation, valuation and models)

core

 

 

core

 

Select two of the followings

 

1

Derivatives I

elective

2

Fixed Income securities and portfolio management

elective

3

Asset Pricing and Portfolio Management I

elective

4

Investment Management

elective

 

FRM Part II

 

Courses

Core/Electives

 

 

 

1

Derivatives II

core

2

Financial Modeling

core

3

Risk Management II (Measurement and Management)

core

4

Risk Management III (Operation and Institution)

core

5

Advanced Topics in Risk Modeling

core

 

 

 

 

Source GARP:  /media/539392/frm%20study%20guide%202011.pdf

CONTACT INFORMATION

astefan@mimusa.org - Director
mproyss@mimusa.org
- Academic Coordinator
mnelson@mimusa.org
- Marketing Director
igluska@mimusa.org
- Marketing Assistant

WEBSITE

General address: http://mimusa.org
Certificate in Finance: http://mimusa.org/the-community/certificate/certificate/94-financial
NOTE: the Certificate in Finance page will be updated after GARP approval.

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