Financial Risk and Regulation Study Guide and Learning Objectives

Be prepared for financial risks in the workplace with this self-study course that illustrates how financial risk impacts assets, institutions and systems, and the global financial infrastructure. The course includes four modules that provide a comprehensive understanding of credit risk, market risk, operational risk, and asset and liability management. After completion, you can sit for the formal exam proctored by Pearson VUE, and earn your official GARP Risk and Regulation certificate.
 

LAST UPDATED: MAY 13, 2020

2020-frr-study-guide

DOWNLOAD 2020 FINANCIAL RISK AND REGULATION STUDY GUIDE AND LEARNING OBJECTIVES