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  2. Professional Risk Managers' International Association

    en.wikipedia.org/wiki/Professional_Risk_Managers...

    Historic individual exam pass rates, under the pre-2019 structure, were 54% for Exam II (mathematics), 59% for Exams I and III (finance, and risk management), and 78% for Exam IV (standards and case studies); [10] [11] with an overall completion-rate of just over 65%. [10]

  3. Global Association of Risk Professionals - Wikipedia

    en.wikipedia.org/wiki/Global_Association_of_Risk...

    The Financial Risk Manager (FRM) is a Master's degree equivalent [10] professional designation issued by GARP. The FRM is well regarded, one of the flagship certifications for financial risk professionals, along with the PRM offered by the Professional Risk Managers' International Association.

  4. Certified Risk Analyst - Wikipedia

    en.wikipedia.org/wiki/Certified_Risk_Analyst

    Certified Risk Analyst (CRA) is a risk management professional designation offered by the Global Academy of Finance and Management (GAFM). CRA risk management training and certification is available in New York , California , Asia , the Middle East and other locations.

  5. What Is a Certified Personal Risk Manager (CPRM)? - AOL

    www.aol.com/finance/certified-personal-risk...

    The Certified Personal Risk Manager (CPRM) program was created for professionals who offer insurance and risk management services to high-net-worth individuals (HNWIs). Candidates develop their ...

  6. Professional certification in financial services - Wikipedia

    en.wikipedia.org/wiki/Professional_certification...

    The Financial Risk Manager (FRM) is a professional certification in risk management offered by the Global Association of Risk Professionals (GARP). [ 41 ] The coverage - focusing on market risk , credit risk and operational risk , and including requisite quantitative and investment management material - is over two exams.

  7. Risk management - Wikipedia

    en.wikipedia.org/wiki/Risk_management

    As applied to finance, risk management concerns the techniques and practices for measuring, monitoring and controlling the market-and credit risk (and operational risk) on a firm's balance sheet, due to a bank's credit and trading exposure, or re a fund manager's portfolio value; for an overview see Finance § Risk management.

  8. Enterprise risk management - Wikipedia

    en.wikipedia.org/wiki/Enterprise_risk_management

    The New York Stock Exchange requires the Audit Committees of its listed companies to "discuss policies with respect to risk assessment and risk management." The related commentary continues: "While it is the job of the CEO and senior management to assess and manage the company’s exposure to risk, the audit committee must discuss guidelines ...

  9. Financial risk management - Wikipedia

    en.wikipedia.org/wiki/Financial_risk_management

    [1] [2] See Finance § Risk management for an overview. Financial risk management as a "science" can be said to have been born [3] with modern portfolio theory, particularly as initiated by Professor Harry Markowitz in 1952 with his article, "Portfolio Selection"; [4] see Mathematical finance § Risk and portfolio management: the P world.