This in-depth training on “Financial Markets and Products” is designed to equip participants with an understanding of the key financial instruments and markets that are essential in the field of risk management. The course will cover a wide range of topics including derivatives, fixed income, foreign exchange, and the mechanics of financial markets.
Participants will explore the characteristics and uses of various financial products, understanding their role in risk management and how they are traded in the markets. By the end of the training, participants will be well-prepared not only for the FRM Part I exam but also for applying these concepts in real-world financial scenarios, enhancing their ability to manage risk effectively in their organizations.