Topics covered by the GARP 2016-FRR
Here is a list of the main subjects that will be covered in the 2016-FRR:
- Regulation, Supervision, Reporting, and Management: 20%
- Financial Services: 15%
- Emerging Markets: 15%
- Risk Management: 50%
Get to know about the requirements for taking GARP 2016-FRR?
The requirements to take the GARP FRR Certification are not strict because it is an open examination. Variable requirements for the 2016-FRR are by the organizer and the region. Chapters are structured according to the country you are studying. Message the organizer email before submitting the application for GARP 2016-FRR Certification, If edits are required.
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Specify Objectives of the GARP 2016-FRR Certification
The main objective of the GARP FRR certification is to verify a candidate's ability to understand and live up to “the standard of knowledge, skill, and behavior” required by corporations for financial management professionals. The purpose of this is to verify a candidate's ability to understand and live up to “the standard of knowledge, skill, and behavior” required by corporations for financial management professionals. The wiki study guide covers the entire GARP FRM syllabus for this certification. 2016-FRR exam dumps help the candidates to prepare for the GARP FRM certification. Free translate the idea from your native language into English, directly from your browser. Configuration of theoretical knowledge and application of financial products and processes. Talking with clients and partners is crucial in the process of obtaining and maintaining a successful occupation.
Reference: https://www.garp.org/courses/financial-risk-and-regulation
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What is the Passing Score, Duration & No. of queries for the GARP 2016-FRR:
- Passing score: 54/80 (67.5%)
- Language: English
- Number of Questions: 80
- Duration: 175 minutes
- Format of 2016-FRR: All multiple choice
GARP 2016-FRR Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Risk Identification and Mitigation | - Enterprise Risk Management
|
| Governance and Regulation | - Risk Governance Frameworks
|
| Operational Risk | - Operational Risk Frameworks
|
| Credit Risk | - Credit Risk Analysis
|
| Asset and Liability Management | - Balance Sheet Risk
|
| Market Risk | - Market Risk Measurement and Management
|

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