-
Recent Posts
- IIT JEE Test: Comprehensive Guide for Aspiring Engineers
- CFA Certification: The Key to Advancing Your Finance Career
- Elevate Your Career with Okta Certification
- The Definitive Guide to CPA Certification: Elevating Your Accounting Career
- The Ultimate Guide to FRM Certification: Unlocking Career Success in Financial Risk Management
-
Follow Us
-
Archives
- July 2024
- June 2024
- May 2024
- May 2023
- October 2022
- July 2022
- April 2021
- August 2020
- July 2020
- July 2019
- June 2019
- January 2019
- December 2018
- September 2018
- August 2018
- June 2018
- April 2018
- February 2018
- January 2018
- August 2017
- July 2017
- April 2017
- December 2016
- November 2016
- October 2016
- September 2016
- August 2016
- July 2016
- June 2016
- May 2016
- April 2016
- March 2016
- February 2016
- January 2016
- December 2015
- November 2015
- October 2015
- September 2015
- August 2015
- July 2015
- June 2015
- May 2015
- April 2015
- March 2015
- February 2015
- September 2014
- August 2014
- May 2014
- April 2014
- February 2014
- January 2014
- December 2013
- October 2013
- September 2013
- June 2013
- May 2013
-
-
Categories
Tags
accountability admissions application Business Because business school CAT CAT Mock Test CET CFA CFA study schedule CPA entrepreneurship free study material gmat GMAT goal score gmat study partner gmat tutor gre INSEAD interview Ivy League linkedin LSAT magoosh MBA MBA entrance exam MCAT study partner mock test motivation practice questions recipe snacks start-up study study buddy study group studypal study partner study spots Study Tips superfood syllabus test prep time mamangement TimePrep
The Financial Risk Manager (FRM) Certification is a professional designation offered by the Global Association of Risk Professionals (GARP). To prepare for the FRM Certification exam, you will need to study a range of topics related to financial risk management.
Here are some books that are commonly recommended to prepare for the FRM Certification exam:
“Financial Risk Management: A Practitioner’s Guide to Managing Market and Credit Risk” by Steve L. Allen
“Value at Risk: The New Benchmark for Managing Financial Risk” by Philippe Jorion
“Risk Management and Financial Institutions” by John C. Hull
“Options, Futures, and Other Derivatives” by John C. Hull
“The Handbook of Credit Risk Management: Originating, Assessing, and Managing Credit Exposures” by Sylvain Bouteille and Diane Coogan-Pushner
“The Essentials of Risk Management” by Michel Crouhy, Dan Galai, and Robert Mark
“Financial Risk Manager Handbook, + Test Bank: FRM Part I / Part II” by Philippe Jorion and GARP (Global Association of Risk Professionals)
These books cover a wide range of topics related to financial risk management, including market risk, credit risk, operational risk, and more. Additionally, the GARP website offers study materials, practice exams, and other resources to help you prepare for the FRM Certification exam.
Comments are closed.