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Financial Risk and Regulation


Course Overview


Learn how financial risk impacts assets, institutions and systems, and the global financial infrastructure with this comprehensive, self-study course. Financial Risk and Regulation (FRR) course includes four modules on credit risk, market risk, operational risk, liquidity risk, and asset and liability management, designed to prepare you for the most common financial risks you may encounter in the workplace. After completion, you can sit for the formal exam proctored by Pearson VUE, and earn your official GARP Financial Risk and Regulation certificate. 

The course includes four textbooks:
-Credit Risk Management
-Market Risk Management 
-Operational Risk Management 
-Asset and Liability Management