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GARP FRM Part 2 2020

Rs.7,100.00
Rs.10,000.00 Rs.7,100.00
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GARP FRM Part 2 2020 is the official study material for the second level of the Financial Risk Manager certification exam administered by the Global Association of Risk Professionals. This comprehensive guide covers advanced topics in financial risk management, including market risk, credit risk, operational risk, and liquidity risk, with emphasis on practical application and regulatory frameworks.

The 2020 edition reflects updates to exam content and industry standards, making it essential for candidates preparing for Part 2 of the FRM qualification. The material is structured to build on Part 1 knowledge while introducing complex risk modeling techniques, derivative pricing, and enterprise-wide risk management strategies. Each section includes worked examples and case studies drawn from real market scenarios.

Professionals pursuing the FRM credential - including risk analysts, compliance officers, and portfolio managers - use this text as both a study guide and a reference resource for their careers. The book is designed for independent study as well as classroom use, with clear explanations of technical concepts accessible to those with finance or mathematics backgrounds.

  • Covers all Part 2 exam domains and learning objectives
  • Includes practice questions aligned with actual exam format
  • Updated for 2020 curriculum standards
  • Written by GARP and industry experts
  • Suitable for self-study and instructor-led preparation

Available nationwide in Pakistan with Cash on Delivery. Order online and receive your copy at home.

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GARP FRM Part 2 2020 Rs.10,000.00 Rs.7,100.00
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