Financial Risk Management (FRM) is a field of finance that focuses on managing risk in the financial markets. It involves the use of various tools and techniques to identify, measure, and manage risk. FRM is used by financial institutions, corporations, and governments to protect their investments and ensure their financial stability. FRM is also used to identify and manage potential losses due to market volatility, currency fluctuations, and other financial risks. FRM is a complex and ever-evolving field, and requires a deep understanding of financial markets and the ability to identify and manage risk. It is a critical component of any financial institution's risk management strategy. Some of the companies in the FRM market include Moody's Analytics, RiskMetrics, Fitch Solutions, and S&P Global. Show Less Read more
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