GARP 2016-FRR Exam is recognized globally as a leading certification for finance professionals who are interested in pursuing a career in financial risk management and regulation. 2016-FRR exam is designed to provide candidates with in-depth knowledge and skills required to understand and manage financial risks in a dynamic and constantly evolving financial market. Candidates who pass the exam are considered to have demonstrated their expertise in financial risk management and regulation, and are highly sought-after by employers in the finance industry.
The FRR Series consists of two levels of certification: the FRM (Financial Risk Manager) and the ERP (Energy Risk Professional). The FRM certification focuses on financial risk management in banking, insurance, and asset management, while the ERP certification is geared towards professionals working in the energy industry. Both certifications require passing two exams, and candidates must have a certain amount of relevant work experience to be eligible to take the exams.
Reference: https://www.garp.org/courses/financial-risk-and-regulation
GARP 2016-FRR Exam Overview:
| Certification Vendor: | GARP (Global Association of Risk Professionals) |
|---|---|
| Exam Name: | Financial Risk and Regulation (FRR) Series |
| Exam Number: | 2016-FRR |
| Exam Duration: | 175 minutes |
| Certificate Validity Period: | 3 years |
| Related Certifications: | FRM (Financial Risk Manager) |
| Exam Price: | $350 - $600 USD (member / non-member, early / standard registration) |
| Passing Score: | 67.5% (54/80) |
| Available Languages: | English |
| Real Exam Qty: | 80 |
| Exam Format: | Multiple Choice Questions |
| Recommended Training: | GARP Official FRR Study Materials |
| Exam Registration: | Pearson VUE Scheduling GARP Official Registration |
| Sample Questions: | GARP 2016-FRR Sample Questions |
| Exam Way: | Computer-based testing, delivered at Pearson VUE test centers or online proctored |
| Pre Condition: | No formal prerequisites; recommended 3–5 years of experience in finance, risk, compliance, audit or related fields |
| Official Syllabus URL: | https://www.garp.org/courses/financial-risk-and-regulation |
The Global Association of Risk Professionals (GARP) is a not-for-profit organization that aims to promote risk management practices in the financial industry. As part of their efforts, GARP offers a range of certification programs, including the Financial Risk and Regulation (FRR) Series. The FRR Series is designed to help professionals in the financial industry develop a deeper understanding of the complex regulations and risks that they face.
The Global Association of Risk Professionals (GARP) is a renowned organization that aims to boast the level of sustainability and efficiency in the financial markets. GARP offers various certifications, examinations, and educational programs to help professionals pursue a career in risk management. One of the most popular and rigorous exams conducted by GARP is the Financial Risk and Regulation (FRR) Series.
GARP 2016-FRR Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Regulation, Supervision, Reporting and Management | 20% | - Supervision and Compliance
|
| Emerging Markets | 15% | - Characteristics and Risks
|
| Risk Management | 50% | - Foundations of Risk Management
|
| Financial Services | 15% | - Financial Institutions and Markets
|
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