2016-FRR Practice Test and Study Guide
GARP 2016-FRR Exam Specifications
- Exam Code:
- 2016-FRR
- Exam Name:
- Financial Risk and Regulation (FRR) Series Exam
- Provider:
- GARP
- Time:
- 120 min
- Passing Percentage:
- 65%
- Version:
- 10.2
Question Types
- 387 Single Select
387 Questions with Answers
- PDF Printable (Q & A)
- 3 Months
Key Features to Key Benefits
Real Exam-like Questions and Answers (387 total)
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Skills Covered in Financial Risk and Regulation (FRR) Series Exam (2016-FRR)
In the FRR Series exam you’ll learn to quantify market risk with value-at-risk metrics and stress testing, model credit risk by analyzing default-related exposure and loss given default, and manage counterparty risk within a robust model governance framework. You’ll also master operational risk frameworks and loss data analysis, governance structures and escalation processes, Basel-aligned capital and liquidity requirements, and data governance and reporting capabilities to meet regulatory expectations.
Essential Skills
- Measure and manage market risk using VaR, CVaR and stress testing
- Model credit risk including exposure at default, loss given default and counterparty risk considerations
- Govern operational risk frameworks, metrics and loss data analysis
- Assess liquidity risk exposure, funding strategies and resilience under stress scenarios
- Validate and govern risk models through robust model risk management practices
- Navigate regulatory frameworks, capital adequacy requirements and Basel standards
- Define risk governance structures, risk appetite, policies and escalation processes
- Ensure risk data governance, data quality, aggregation and reporting capabilities
- Interpret regulatory reporting obligations and supervisory expectations
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