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The MRR in relation to Financial Risk Manager (FRM)

The certification program „Financial Risk Manager“ (FRM) offered by the Global Association of Risk Professionals (GARP) is highly recognized within the professional risk community. The FRM-program relies on self-study based on a study guide and a recommended reading list published by GARP. Exams are offered worldwide every May and November. Some students of the Master of Risk Management and Regulation (MRR) program might consider taking the FRM-exams either during their master’s studies or at a later stage in their career. Naturally, the MRR covers most of the topics and contents required for the FRM exams. To show the interrelations and facilitate preparation for the FRM exams the course materials of the MRR contain references to the relevant parts of the FRM reading materials. Students will also be provided an overview document indicating the subject areas covered and remaining gaps.



Global Association of Risk Professionals