Financial Risk Diploma 

  • Quantitative Methods
  • Financial Markets, Institutions and Securities
  • Risk Management I (foundation, valuation and models)
  • Derivatives I
  • Fixed Income Securities and Portfolio Management
  • Asset Pricing and Portfolio Management I
  • Investment Management
  • Derivatives II
  • Financial Modeling
  • Risk Management II (Measurement and Management)
  • Risk Management III (Operation and Institution)
  • Advanced Topics in Risk Modeling 
  • ICTP and Integrative Project

MIM Financial Risk Diploma

Program Overview:

 A Financial Risk certified professional is a recognized expert in identifying the financial risks for businesses and organizations in order to determine business financial strategies and financial risk solutions.

MIM-  FR 

MIM FR program helps to prepare for FRM part I and part II Exam *

Target Audience: Financial team member;  financial practitioner or  financial analyst/ management professional;  graduate student with an interest in financial risk management.
Prerequisites: International and domestic bachelor degree and financial experience or enrolled in master programs   
Requirements: Students must pass MIM exam requirements to attain the Diploma in Financial Risk from Manhattan Institute of Management
MIM Exam Requirement
MIM Financial Risk Diploma Final Courses Exams  

        

    Hours of Study / Certificate (see table) + ICTP (30 hours)

    Duration - max 6 months 

    Breakdown:  

    Course/ Unit Title

    Hours

     FR Part I ( 5 courses required )

     



    Financial Markets, Institutions and Securities ( core course )
    30
    Quantitative Methods ( core course ) 30
    Risk Management I (foundation, valuation and models) (core course )
    30
    select two of the followings for FR Part I
     
    Derivatives I  ( elective )
    30
    Fixed Income Securities and Portfolio Management ( elective )
    30

    Asset Pricing and Portfolio Management I ( elective )

    30

    Investment Management ( elective )

    30

    FR Part II ( 5 courses required )

     

    Derivatives II 
    30
    Financial Modeling

    30

    Risk Management II (Measurement and Management)

    30

    Risk Management III (Operation and Institution)

    30

    Advanced Topics in Risk Modeling 30

    NOTE:

    FRM Certification Exam has two exams FRM Part I and FRM Part II:

    1 FRM Part I

    2 FRM Part II

    MIM FR Program helps with your studies for each of them, as follows:

    Core (all):

    1Quantitative Methods

    1Financial Markets, Institutions and Securities

    One of the following two:

    1Risk Management I (foundation, valuation and models)

    1Asset Pricing and Portfolio Management I

     

    Electives (five courses - need to add course pre-requisites may include the omitted course above):

    1,2Derivatives

    1,2Fixed Income securities and portfolio management

    2Risk Management II (Measurement and Management)

    2Risk Management III (Operation and Institution)

    2Advanced Topics in Risk Modeling

     

    FRM (0,0,0 ) are topics numbers in FRM Study guide.

     

    A         Quantitative Methods  (FRM 9,10, 11, 13)

    B         Financial Markets, Institutions and Securities (14, 15, 16, 17, 18)

    C         Risk Management I (foundation, valuation and models)  (1 ,2, 7, 8, 13, 19, 22, 23, 24, 25, 26, 27, 28, 29)

    D         Asset Pricing and Portfolio Management I  (3, 4, 12

     

    Electives (five courses - need to add course pre-requisites may include the omitted course above):

     

    E          Derivatives  (20, 30)

    G         Fixed Income securities and portfolio management (21, 22, 23, 31, 34, 35-44)

    H         Risk Management II (Measurement and Management) (32, 33, 35-44)

    J           Risk Management III (Operation and Institution) (45—59)

    K         Advanced Topics in Risk and Investment Management (60-61)

     

    Required TOEFL Score- 450 or MIM ESL Intermediate 

    Cost- $ 5,100  Please register online for the FR Diploma

     

    * SPECIAL NOTE

    MIM Financial Risk Diploma is not sponsored, or endorsed by GARP in any way.

    MIM Financial Risk Diploma is not a pre-requisite for anyone wishing to take the GARP, FRM exam.

    MIM Financial Risk Diploma can be accepted as transfer courses for core courses in International MBA.

    GARP does not endorse, promote, review or warrant the accuracy of the products or services
    offered by Manhattan Institute of Management of GARP Exam related information, nor does it
    endorse any pass rates that may be claimed by the Exam Prep Provider. Further, GARP is not
    responsible for any fees or costs paid by the user to Manhattan Institute of Management nor is 
    GARP responsible for any fees or costs of any person or entity providing any services to Manhattan 
    Institute of Management. ERP®, FRM, GARP® and Global Association of Risk Professionals, 
    ICBRR® and FBR™ are trademarks owned by the Global Association of Risk Professionals, Inc.