About - Indian Institute of Quantitative Finance
The Master of Financial Risk Management program offered by the Indian Institute of Quantitative finance is designed to prepare students who excel at finance and quantitative analysis for the FRM certification examination conducted by GARP. A bridge between academic and professional life, this full-time, 4-month program allows students to fast-track into the finance industry. The course not only has extensive training for the EXAM but also has real situations to test the skills they have gained. Students will gain a better understanding of the different types of risk, the regulatory environment, and how different financial institutions manage uncertainty. There are full-length Mock Tests for GARP preparation and access to view Course videos online later during actual practical scenarios.
Services Focus
- Quant Finance Courses
- Financial Engineering Courses