INFORMATION ACADEMIC YEAR 2020/21

Information and FAQ

Garp
MSc in Financial Markets

GARP The Financial Risk Manager professional certification, a key differentiator in the job market!

 

With increasing global demand for graduates with risk management skills has inspired, EDHEC to partner with GARP, the Global Association of Risk Professionals, to create an academically rigorous risk management education.  The GARP partnership is a key differentiator in the job market and aims to better prepare students to succeed in the challenging field of risk management.

The curriculum of the MSc in Financial Markets and the MSc in Risk & Finance prepares students for the Part I exam of the Financial Risk Manager (FRM) professional certification. The Financial Risk Manager designation is the only globally recognised standard for risk professionals.
Part I exam of the FRM covers the tools used to assess:

  • Financial Risk
  • Quantitative Analysis
  • Fundamental Risk Management Concepts
  • Financial Markets/Products
  • Valuation and Risk models

GARP, the Global Association of Risk Professionals is the leading association for the risk management profession globally. Find out more about GARP and the Financial Risk Manager (FRM) certification.